This transaction refers to the final adjustment operation that occurs immediately after a withdrawal from Satispay funds is confirmed.
You can place a sell order for your fund shares at any time. The order will be executed and the corresponding amount transferred to your Balance within four business days.
After the withdrawal confirmation, you will see the adjustment transaction. This serves to:
• withdraw from your Balance the amount of any taxes due on the sale of the fund shares;
• update your final Balance with reference to any changes in the value of the fund's NAV.