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The Principal Global Strategic Income Fund is designed to provide
Australian institutional and wholesale investors access to a diversified fixed
income fund that seeks to deliver a high total return by investing in a
portfolio of high yielding fixed income securities whilst minimising downside
risk.
Our funds are available through a number of portfolio services.
View a full list of portfolio
services offering our products and their contact details.
If you wish to receive historical reports, click
here to send request.
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Principal Global Investors (Australia) Ltd. is the
responsible entity of the Principal Global Property Securities Fund, the
Principal Global Strategic Income Fund and the Principal Property Securities
Fund. You should consider the Product Disclosure Statement (PDS) for the Fund
which is available on this site and assess with your financial advisor whether
this product fits your investment objectives, particular needs and financial
situation before making any investment decision.
Current rating as at July 2006. Any Lonsec Limited ("Lonsec")
(ABN 56 061 751 102) rating 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 receive a fee from the fund manager for rating the product(s) using
comprehensive and objective criteria.
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. Please refer to Standard & Poor's Financial Services
Guide for more information at www.assirt.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 2007 Standard
& Poor's Information Services (Australia) Pty Limited.
Zenith's ratings are prepared exclusively for clients of Zenith
Investment Partners (Zenith). The rating is of a general nature and does not
have regard to the particular circumstances or needs of any specific person who
may read it. Each client should assess either personally or with the assistance
of a licensed financial adviser whether the Zenith rating or advice is
appropriate to their situation before making an investment decision. The
information contained in the rating is believed to be reliable, but its
completeness and accuracy is not guaranteed. Opinions expressed may change
without notice. Zenith accepts no liability, whether direct or indirect arising
from the use of information contained in the rating. No part of this report is
to be construed as a solicitation to buy or sell any investment. Zenith usually
receives a fee for rating the fund manager and product(s) against accepted
criteria considered comprehensive and objective.
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