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PART 3U.K.REPORTING FUNDS AND THE TREATMENT OF PARTICIPANTS IN REPORTING FUNDS

CHAPTER 12U.K.CONSTANT NAV FUNDS

InterpretationU.K.

Meaning of “constant NAV fund”U.K.

118.—(1) In these Regulations a “constant NAV fund” means an offshore fund that meets conditions A and B.

(2) Condition A is that the net asset value of the fund (expressed in the currency in which units are issued) will not fluctuate by more than an insignificant amount throughout the fund's existence.

(3) Condition B is that condition A is met as a result of—

(a)the nature of the fund's assets, and

(b)the frequency with which the fund distributes its income.