LM Australian Structured Products Fund 


Partnering with global market leaders, the LM Australian Structured Products Fund aims to provide a range of closed end structured product offers, all with an Australian investment theme. The LM Australian Structured Products Fund provides further scope for LM as a provider of quality Australian investment solutions to global markets.

Please refer to the 'Open Series' tab in the right hand navigation area of this page for further details of investment series currently available for investment.
The LM Australian Structured Products Fund invests in different sectors of Australia’s well performing
economy, including:-
  • Minerals and natural resources;
  • Banking and finance;
  • Retail;
  • Consumer goods;
  • Telecommunications; and
  • Mining. 
     
The fund aims to provide investors with series offering performance and high sensitivity to various Australian assets via the S&P/ASX 200 Index, other performance indices, and Australian shares.

Benefits of investment in the fund may include:-
  • Various levels of capital or income return up to 100%, specific to each series and only if held until the maturity date. A capital or income return does not universally apply, Part 2 of the Product Disclosure Statement specifies each specific investment series;
  • Potential for market linked returns;
  • Access to Australian themed investment opportunities;
  • Reduced volatility (or risk) within an investment, depending on the investment series chosen;
  • Funds management expertise, managed by an experienced fund manager;
  • Secondary market sale prior to maturity. Generally, under normal market conditions, investors can redeem their investment at any time prior to the maturity date of the investment. Subject to the issuer being able to facilitate buy-back of the units at the time requested. Early withdrawal may negate the capital return dependent on the investment.


Investment into the LM Australian Structured Product Fund can only be made through financial advisers, intermediaries and institutions. For complete details of the fund, those recommending the LM funds and investors should read; the Product Disclosure Statement (PDS) Parts 1 and the relevant Part 2, including any relevant Supplementary PDS, and information provided at the bottom of this product page.

Details of each of the series are provided on the website or by contacting LM on +617 5584 4500.

  

For U.S Residents Only






PRODUCTS AND SERVICES ARE NOT AVAILABLE TO THE HONG KONG PUBLIC.

Under Australian legislation and regulation, fund managers of investment funds must provide specific disclosures relating to fund information, to minimise the risk of misleading or investor misunderstanding. Under this law, the following disclosures relating to the content of this web page are required to be displayed.

The risks associated with this product, including capital/ income returns and any secondary market sales, are dependent on the performance of the underlying investment and the issuer of the underlying structured product asset.

This communication is intended as general information only, not as financial product advice. LM Investment Management Ltd (LM), ABN 68 077 208 461 Responsible Entity and AFSL No. 220281, is the product issuer, is licensed as a fund manager and not as a provider of financial product advice. LM recommends investors seek independent financial advice which takes into account their personal financial situation, objectives and needs and read and consider the Fund’s current Product Disclosure Statement (PDS) Parts 1 and relevant Part 2 including any relevant Supplementary PDS (available at www.LMaustralia.com or by contacting LM on 1800 062 919 or mail@LMaustralia.com) before making any decision about the product. The PDS documents the Fund’s cooling off provisions.