VISION Securities
- Status
- Closed
- Series number
- 7
- Launch date
- 15 Oct 2007
- Initial pricing date
- 18 Dec 2007
- Maturity date
- 20 Dec 2012
- Underlyings
- Global equities, international property and foreign exchange
- Initial price per unit
- $1.00000
- Capital protection
- 1 %
- Rising guarentee
- 0 %
- Current NAV
- $1.00000
- Current bid
- $0.89000
- Listing
- Unlisted
Description
VISION Securities are Capital Guaranteed and incorporates a unique feature whereby the allocation to each asset class is set at maturity when investment performance is actually known. This allows you to invest today with the benefits of hindsight, giving you the opportunity to maximise your potential rewards from tomorrow's knowledge.
VISION Securities provide investors with*:
-
100% capital guarantee at maturity;
-
Potential for capital growth;
-
Potential 8.0%p.a. coupons (for Series B);
-
Exposure to global equities, international property and foreign exchange;
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Automatic allocation to the best performing strategy;
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Enhanced participation of 160% for Series A and 120% for Series B of the best performing strategy;
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Automatic fixed profit lock-ins can occur ensuring profits are received by you if specified out-performance occurs;
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No currency risk; and
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No entry fee; No management fees and No performance fees – ever.
For further information, please contact your adviser.
For further information, please contact the Distribution Consultant:
e m.akele@visionthree.com.au
p 0401 994 973
*Please read the Product Disclosure Statement and brochure below for further details.
Publications
Sort by:
Vision Income Statement 2010
30 June 2010
Vision Income Statement 2009
30 June 2009
Vision Income Statement 2008
21 October 2008
Product Pricing Notice
23 December 2007
Important information relating to indicative prices.
Product Notice - Offer period extended
20 November 2007
The Closing Date to invest in Vision Securities has been extended until 13 December 2007.
Product Disclosure Statement
15 October 2007
Please read the PDS for all information about VISION Securities. The PDS contains an application form for you to apply to invest in the product.
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VISION Securities
For further information investors should consult their adviser.
Advisers may contact the Issuer:
Retail Structured Products
(p) 1800 450 005
(e) productsupport.au@rbs.com
For unitholder information, advisers and investors may contact:
Registries Limited
(p) 02 9290 9600
(f) 02 9279 0664
(e) callcentre@registriesltd.com.au
(w) www.registries.com.au
*Please read the Product Disclosure Statement and Brochure for further details.