LM Austrailan Structured Products Fund
Australian Equities
LM Product Code: LMASPF3
Maturity Date: 15 February 2013
Performance of the underlying six baskets of stocks. Click button

to see the movement of the Fund.
| Symbol |
Share Name |
Date |
Strike Price |
Previous Close |
Market Cap |
Graph |
2012-02-15||50.44;35.31||4.98;3.49||25.02;17.51||33.50;23.45||68.74;48.12||29.71;20.80||
Source:
www.ASX.com.au
Under Australian legislation, and as regulated by the Australian Securities and Investment Commission (ASIC), fund managers of investment funds such as the LM funds must provide specific disclosures relating to fund information, to minimise the risk of misleading investors, or investor misunderstanding. As a Responsible Entity and manager of the LM income funds, LM is required to display the following disclosures relating to the content of this web page.
LM requests investors consult a financial adviser before making an investment decision as LM is not licensed to give advice. Investors must have read and considered the current Product Disclosure Statement (PDS), including any Supplementary Product Disclosure Statement (SPDS), and/or Information Memorandum (IM) before deciding whether to acquire or continue to hold an investment in any of the fund products issued by LM Investment Management Ltd (Administrators Appointed).
PRODUCTS AND SERVICES ARE NOT AVAILABLE TO THE HONG KONG PUBLIC