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the European Parliament and of the Council of 29 April 2015 on European long-term investment funds (Text with EEA relevance)</dc:title><dct:alternative>Regulation (EU) 2015/760 of the European Parliament and of the Council</dct:alternative><dc:description>Regulation (EU) 2015/760 of the European Parliament and of the Council of 29 April 2015 on European long-term investment funds (Text with EEA relevance)</dc:description><dc:modified>2020-12-12</dc:modified><dc:publisher>King's Printer of Acts of Parliament</dc:publisher><dc:source>https://webarchive.nationalarchives.gov.uk/eu-exit/https://eur-lex.europa.eu/legal-content/EN/TXT/?uri=CELEX:32015R0760</dc:source><dc:type>text</dc:type><dc:format>text/xml</dc:format><dc:language>en</dc:language><ukm:EUMetadata><ukm:DocumentClassification><ukm:DocumentCategory Value="euretained"/><ukm:DocumentMainType Value="EuropeanUnionRegulation"/><ukm:DocumentStatus Value="final"/></ukm:DocumentClassification><ukm:Year Value="2015"/><ukm:Number 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Value="0"/><ukm:TotalImages Value="0"/></ukm:Statistics></proprietary></meta><body><chapter eId="chapter-III"><num>CHAPTER III</num><heading><b>REDEMPTION, TRADING AND ISSUE OF UNITS OR SHARES OF AN ELTIF AND DISTRIBUTION OF PROCEEDS AND CAPITAL</b></heading><article eId="article-21" uk:target="true"><num>Article 21</num><heading>Disposal of ELTIF assets</heading><paragraph eId="article-21-1"><num>1.</num><content><p>An ELTIF shall adopt an itemised schedule for the orderly disposal of its assets in order to redeem investors' units or shares after the end of the life of the ELTIF, and shall disclose this to the competent authority of the ELTIF at the latest one year before the date of the end of the life of the ELTIF.</p></content></paragraph><paragraph eId="article-21-2"><num>2.</num><intro><p>The schedule referred to in paragraph 1 shall include:</p></intro><level class="para1"><num>(a)</num><content><p>an assessment of the market for potential buyers;</p></content></level><level class="para1"><num>(b)</num><content><p>an assessment and comparison of potential sales prices;</p></content></level><level class="para1"><num>(c)</num><content><p>a valuation of the assets to be divested;</p></content></level><level class="para1"><num>(d)</num><content><p>a time-frame for the disposal schedule.</p></content></level></paragraph><paragraph eId="article-21-3"><num>3.</num><content><p>ESMA shall develop draft regulatory technical standards specifying the criteria to be used for the assessments in point (a) and the valuation in point (c) of paragraph 2.</p><p>ESMA shall submit those draft regulatory technical standards to the Commission by 9 September 2015.</p><p>Power is delegated to the Commission to adopt the regulatory technical standards referred to in the first subparagraph in accordance with Articles 10 to 14 of Regulation (EU) No 1095/2010.</p></content></paragraph></article></chapter></body></act></akomaNtoso>