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TAAM New Asia Fund The TAAM New Asia Fund is an Australian domiciled fund for wholesale and retail investors. Treasury Group Investment Services Limited is the responsible entity for this fund.
The Fund is managed with a view to offering investors the opportunity to receive positive total returns from capital growth and dividends over the long-term from a portfolio of Asian (excluding Japan) securities. TAAM seeks to invest the assets of the Fund in securities that offer positive absolute returns, rather than selecting securities because they are included in a particular industry standard benchmark such as the MSCI AC Asia – ex Japan Index.
Applications can only be made on the form in the current product
disclosure statement which can be obtained by clicking the links on this
page or by contacting Treasury Asia Asset Management. Potential
investors should consider the product disclosure statement before
deciding whether to invest, or continue to invest, in the fund. Investors should take account of the short term volatility of share markets and consider a minimum investment horizon of 5 years for an investment in the Fund. Investors in the Fund should understand that the value of an investment in the Fund will change over time.
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Important Information: Treasury Group Investment Services Limited ("TIS") is the responsible entity for the TAAM New Asia Fund. Applications can only be made on the form in the current product disclosure statement for this fund dated 31 March 2010. The current product disclosure statement is available by clicking the links on this page. Potential investors should consider the product disclosure statement before deciding whether to invest, or continue to invest in the TAAM New Asia Fund. |
