VIG Investment Fund Management Hungary Zrt. (registered office: 1091 Budapest, Üllői út 1., company registration number: 01-10-044261, hereinafter referred to as the “Fund Manager, hereby informs its esteemed investors that, it will amend the Fund Rules with effect from 23rd of May 2025. of VIG Panorama Absolute Return Investment Fund.

Effective date: 23rd May 2025.

Reason for amendment: Correction of the information in Section 27 of the Hungarian language Fund Rules that was incorrect [specifically regarding the publication of net asset value data, which contradicted the legal requirement set out in Section 141 (1) b) of the Kbftv.].

The Fund Manager also informs its esteemed investors that the amendment to point 27 of the management policy, as published in this notice, was mistakenly incorporated into an earlier version of the management policy on the 21st of April 2025. The Fund Manager hereby annuls this erroneous publication and amendment of the management policy and confirms that the version of the management policy containing the amendment set out in this publication shall be considered valid and applicable.

Our publication, as well as the new fund rules can be viewed on the official publication platforms of the Fund Manager, at https://kozzetetelek.mnb.hu and https://www.vigam.hu.

Budapest, 20 May 2025.

VIG Asset Management Hungary Ltd.