Important information regarding National Australia Bank Group The units in the Domaine SEQ Growth Fund and Trust ("the Trusts") are not deposits with, or other liabilities of, National Australia Bank Limited ("National") or other companies of the National group. Units in the Trusts are issued by Domaine Property Funds Limited, as the responsible entity of the Trusts ("Responsible Entity"). National does not guarantee the performance of the Trusts or stand behind, in any way, the capital value or performance of the units or the investments made by the Trusts. Investment in the units is subject to investment risk, including possible delays in payment and loss of income and principal invested. Offers of units in the Trusts are made in the PDS and units in the Trusts can only be acquired on the application form included in, or accompanying, the PDS. Further copies of the PDS can be obtained by contacting National on 1800 652 669, visiting nabCapital.com/seq or emailing: seq@national.com.au . The offer of units in the Trusts is only open to Australian residents. By obtaining a copy of the PDS, you acknowledge and confirm that you are an Australian resident. The information on this website has been made available to the recipient for information purposes only and is not intended to be, and does not constitute a product disclosure statement, prospectus, short form prospectus or profile statement as those terms are defined in the Corporations Act. It does not constitute an offer for the issue, sale or purchase of any securities, or any recommendation in relation to investing in the assets. Full details are set out in the PDS available as set out above. While every care has been taken in the preparation of the information on this website, National makes no representation or warranty as to the accuracy or completeness of any statement in it including, without limitation, any forecasts. Full details are set out in the PDS for the product. To the maximum extent permitted by law, National expressly disclaims all or any liability which may arise out of the provision to, or use by, any person of the information contained on this website. The information on this website has been prepared for the purpose of providing information only without taking account of any particular investor's objectives, financial situation or needs. An investor should, before making any decision whether to buy or hold units in the Trusts, consider the full details set out in the PDS for the product (available as set out above), and seek professional advice, having regard to the investor's objectives, financial situation and needs. National may provide debt, treasury, equity arranging and other services to the Trusts or their controlled entities. These services are provided in various capacities as a third party as described in the PDS. National may act if necessary to protect its interests ahead of those of investors and other parties. In acting in its various capacities, National will only have the duties and responsibilities expressly agreed by it in the relevant capacity and will not, by virtue of acting in any other capacity, be deemed to hold any differing standard of care. Forward Looking Statements Without limiting the foregoing, any forecast, budget, target or projection is provided for information purposes only and comprises management estimates of future prospects. No warranty or representation is given as to the accuracy or reasonableness of any such forecast or projection or that any such forecast or projection will actually be met. As the achievement of any prediction as to results of subsequent trading is dependent upon future events, the outcome of which cannot be assured, the actual results achieved may vary materially from the forecast or projections. In all the circumstances, no warranty, express or implied, is given that these future matters will occur or that the future performance will be met. The Responsible Entity and National have provided this information on the basis that each recipient will carry out and rely solely upon its own investigation and analysis. Code of Banking Practice National has adopted the revised Code of Banking Practice 2003. For details of the Code contact National on 13 22 65 and select the option to speak to a Customer Service Representative, or visit us at nab.com.au. For information about National's dispute resolution processes click on Dispute Resolution. Privacy and FSG You must read the Product Disclosure Statement in connection with the National Privacy Notification and Financial Services Guide. |