kvk-table_NotesConsolidatedGeneralNotesInvestmentFirmTable - Notes to the consolidated financial statements - General notes [table]

Description of the most important activities of the entity
Description of the location of the actual activities
Disclosure of deferred tax relating to investments
Disclosure of related party transactions
Description of the features of the agreements with related parties of the fund manager, investment entity or custodian
Description of the investments in investment entities that are related parties of the fund manager, investment entity or custodian
Description of the investments in related parties of the fund manager, investment entity or custodian that encompasses more than ten percent of the capital
Description of the transactions with related parties of the fund manager, investment entity or custodian
Description of the transactions with related parties of the fund manager, investment entity or custodian that are not at arm's length
Description of the outsourcing of the administration of the investment entity
Description of the outsourcing of the custody of assets of the investment entity
Description of the liability when outsourcing of the custody of assets of the investment entity
Description of the liability when outsourcing of the administration of the investment entity
Description of the borrowed and lent financial instruments
Description of the sureties obtained relating to the borrowed and lent financial instruments
Description of the composition of the investment portfolio of the other investment entity
Description of the availability of the annual report of the other investment entity
Description of the agreements concerning costs and benefits allocation between the investment entity and other investment entity
Description of the investment policy of the other investment entity
Disclosure of the investment of twenty percent or more of the capital in an investment entity
Description of the investment results of the other investment entity
Description of the supervision of the other investment entity
Description of the relative interest in the other investment entity
Disclosure of the method of determining the fair value of the investments
Description of the applied calculation method and frequency when determining the fair value of investments
Description of the applied taxation method and frequency when determining the fair value of investments
Description if the valuation of the investment portfolio is carried out by internal or external valuers
Description if the valuation is carried out for a part of or the total investment portfolio during the period
Description of the principles of the valuation of the investment portfolio
Disclosure of assets that are not financial assets which are accepted on a regulated market or other market for financial instruments
Disclosure of investments in other investment entities of eighty five percent or more of the capital
Disclosure of transaction costs
Disclosure return fees not benefiting the investment entity
Disclosure of the received or expected goods for the execution of assignments
Disclosure of the fiscal status of the investment entity
Disclosure of amount per share available for distribution exceeded by the fiscal distribution obligation
Disclosure of costs of outsourced work relating to the administration of the investment entity or custody of the assets of the investment entity