APN Funds Management disclaimer
APN Funds Management Limited ACN 080 674 479 (APN FM) is the responsible entity and issuer of APN Property Group Products.
APN FM is a wholly owned subsidiary of APN Property Group Limited ACN 109 846 068 (“APN PG”).
However, APN PG is not the issuer of any APN Property Group product.
An investment in an APN Property Group product does not represent a deposit with or a liability of APN FM, APN PG or any member of the APN Property Group.
An investment is subject to investment risk, including possible delays in repayment and loss of income or capital invested.
None of APN FM, APN PG or any member of the APN Property Group or any of their officers, advisers, agents or associates in any way guarantee the performance of any APN Property Group product nor any return of capital.
The contents of this website are current at the time of publication and may be amended or revoked by APN Property Group Limited (ABN: 30 109 846 068) at any time.
This website has been prepared for general information only and is not to be taken as containing any securities advice or recommendation. We recommend investors seek independent advice from a professional adviser before investing.
Morningstar disclaimer
© 2010 Morningstar, Inc. All rights reserved. Neither Morningstar, nor its affiliates
nor their content providers guarantee the above data or content to be accurate,
complete or timely nor will they have any liability for its use or distribution.
Any general advice has been prepared by Morningstar Australasia Pty Ltd ABN: 95
090 665544, AFSL: 240892 (a subsidiary of Morningstar, Inc.), without reference
to your objectives, financial situation or needs. You should consider the advice
in light of these matters and, if applicable, the relevant product disclosure statement,
before making any decision. Please refer to our Financial Services Guide (FSG) for
more information at
www.morningstar.com.au/fsg.pdf
'Morningstar Fund Manager of the Year Awards' definition
The Morningstar Fund Manager of the Year Awards identify and recognise the Australian-domiciled
fund managers which, in Morningstar’s opinion have demonstrated funds management
excellence in the year for which they have been awarded.
Lonsec disclaimer
The Lonsec Limited (Lonsec) ABN 56 061 751 102 rating (assigned April 2010) presented
in this document is limited to General Advice and based solely on consideration
of the investment merits of the financial product(s). It is not a recommendation
to purchase, sell or hold the relevant product(s), and you should seek independent
financial advice before investing in this product(s). The rating is subject to change
without notice and Lonsec assumes no obligation to update this document following
publication. Lonsec receives a fee from the fund manager for rating the product(s)
using comprehensive and objective criteria.
van Eyk disclaimer
van Eyk Research Limited (ABN: 99 010 664 632, AFSL: 237917) (van Eyk) has conducted
a review of the processes undertaken by Barik Pty Limited, trading as Adviser Edge
Investment Research (ABN 94 094 329 110, AFSL 236 783) (Adviser Edge) in preparing
their research reports on the property sector. van Eyk, in marking this report ‘endorsed’,
generally speaking confirms the investment recommendation outlined in the report
on this product having regard to the contents of the report only. Adviser Edge’s
rating and van Eyk’s endorsement could change or cease at anytime and should not
be relied upon without referring to the meaning of the rating as well as the full
report available to subscribers at
www.iRate.vaneyk.com.au. van Eyk has not reviewed the accuracy of this research
or information nor whether the report may have material omissions or misstatements.
This review and van Eyk’s recommendation does not take in to account an individual’s
financial situation, needs or objectives. The recommendation is intended for professional
advisers only and should not, and is not intended to be relied upon by investors
in making an investment decision. van Eyk may from time to time receive fees from
Adviser Edge for distributing its reports.
Standard & Poor’s disclaimer
To the extent that any ratings, opinions or other information of Standard & Poor’s
Information Services (Australia) Pty Ltd (ABN: 17 096 167 556, Australian Financial
Services Licence Number: 258896) (“Standard & Poor’s) constitutes general advice,
this advice has been prepared by Standard & Poor’s without taking into account any
particular person’s financial or investment objectives, financial situation or needs.
Before acting on any advice, any person using the advice should consider its appropriateness
having regard to their own or their clients’ objectives, financial situation and
needs. You should obtain a Product Disclosure Statement relating to the product
and consider the statement before making any decision or recommendation about whether
to acquire the product. Past performance is not a reliable indicator of future performance.
Ratings can change or cease at any time and should not be relied upon without referring
to the meaning of the rating. For more information regarding ratings please call
S&P Customer Service on 1300 792 553 and also refer to Standard & Poor’s Financial
Services Guide at http://www.fundsinsights.com.au.
Each analytic product or service of Standard & Poor’s is based on information received
by the analytic group responsible for such product or service. “S&P” and “Standard
& Poor’s” are trademarks of The McGraw-Hill Companies, Inc. ã 2010 Standard & Poor’s
Information Services (Australia) Pty Limited.
Zenith Investment Partners disclaimer
The Zenith Investment Partners (“Zenith”) ABN 60 322 047 314 rating (assigned March
2009) referred to in this document is limited to “General Advice” (as defined by
section 766B of Corporations Act 2001) and based solely on the assessment of the
investment merits of the financial product on this basis. It is not a specific recommendation
to purchase, sell or hold the relevant product(s), and Zenith advises that individual
investors should seek their own independent financial advice before investing in
this product. The rating is subject to change without notice and Zenith has no obligation
to update this document following publication. Zenith usually receives a fee for
rating the fund manager and product against accepted criteria considered comprehensive
and objective.
Adviser Edge disclaimer
Adviser Edge is an investment research firm that undertakes research on investment
products exclusively for its wholesale clients, utilising a proprietary review and
star rating system. Information contained in this document attributable to Adviser
Edge must not be used to make an investment decision. The Adviser Edge rating is
valid at the time the report was issued, however it may change at any time. While
the information contained in the rating is believed to be reliable, its completeness
and accuracy is not guaranteed. The Adviser Edge star rating system is of a general
nature and does not take into account the particular circumstances or needs of any
specific person. Only licensed financial advisers may use the Adviser Edge star
rating system in determining whether an investment is appropriate to a person’s
particular circumstances or needs. You should read the product disclosure statement
and consult a licensed financial adviser before making an investment decision in
relation to this investment product.