Back to Results
First PageMeta Content
Financial services / Funds / Collective investment scheme / Exchange-traded fund / Asset allocation / Trust law / Performance fee / Investment trust / Unit trust / Financial economics / Investment / Finance


Ibbotson WS Secure Trust Product Disclosure Statement 10 DecemberThe issuer and Responsible Entity is:
Add to Reading List

Document Date: 2014-12-09 22:37:28


Open Document

File Size: 348,99 KB

Share Result on Facebook

City

Sydney / /

Company

Australian Property Securities / Ibbotson WS Secure Trust / Ibbotson Associates Australia Limited / Global Inflation-Linked Securities / Making Additional Investments / International Property Securities / Morningstar / Contact Details Ibbotson Associates Australia Limited / /

Country

New Zealand / United States / Australia / /

Currency

USD / /

/

Event

Product Recall / Person Communication and Meetings / M&A / Product Issues / Funding / /

Facility

Document Library / Australia Square / /

/

IndustryTerm

trust law / investment research services / custodial services / member services / investment solution / bank / cash management / info@fos.org.au Web / proxy voting services / managed investment products / investment solutions / /

Organization

Investment administration / Financial Ombudsman Service / Australian Securities & Investment Commission / Investor Directed Portfolio Service / Australian Securities & Investments Commission / /

/

Position

custodian / manager / particular manager / Manager Risk There / manager charges / manager exposure / investment manager / Governor / underlying investment manager / particular investment manager / financial adviser / forward foreign exchange contracts / manager changes / underlying manager / /

Product

Trust Establishment fee Nil Contribution fee Nil / /

Technology

ASIC / /

URL

www.fos.org.au / www.ibbotson.com.au / www.moneysmart.gov.au / /

SocialTag