Changes to the Baltic Fund Center


The following fund managed by “Citadele Investiciju Valdymas” UAB will be removed from the Baltic Fund Center list as of November 20, 2013 (last listing day November 19)

Basic data of the fund:
Name of the fund: Citadele Baltic Sea Equity Fund
ISIN code: LT0000950008

The Fund Center is an environment for publishing fund performance information that is jointly administered by the Tallinn, Riga and Vilnius stock exchanges. The Fund Center includes funds which are publicly offered in at least one of the Baltic countries
http://www.balticfundcenter.com.


NASDAQ OMX
Baltic Market
Issuer Services
+371 67 212 431

www.nasdaqomxbaltic.com