Disclaimer

Disclaimer

Platinum Investment Management Limited ABN 25 063 565 006 AFSL 221935 trading as Platinum Asset Management® (“Platinum®”) is the responsible entity and investment manager of the Platinum Funds. It is a member of the Platinum Group® of companies. The Platinum International Fund (“Fund”) returned 12.5% compound p.a. from inception on 30 April 1995 to 30 April 2016 (“specified period”). Refer to www.platinum.com.au for more information about Platinum and the current Product Disclosure Statement (“PDS”) for the relevant Platinum Funds. Platinum is a member of the Platinum Group® of companies. These investment returns are calculated using the Fund’s unit price and represent the combined income and capital return for the specified period. They are net of fees and costs (excluding the buy-sell spread and any investment performance fee payable), pre-tax and assume the reinvestment of distributions. These investment returns are historical only and represent past performance. Past performance is not a reliable indicator of future performance and does not guarantee future performance of the Fund. Due to the volatility of the underlying assets of the Fund and other risk factors associated with investing, returns can be negative (particularly in the short-term). This information is general information only and not a financial product advice. It does not take into account the investment objectives, financial situation and particular needs of any person. You should consider the relevant PDS prior to making any investment decision to invest (or divest) in a Platinum Fund, as well as your particular investment objectives, financial situation and needs and consult your financial adviser.