General Advice Disclaimer

This website does not constitute an offer to sell or a solicitation of an offer to purchase any security.  Any such offer or solicitation shall be made only pursuant to the Product Disclosure Statement (PDS) of the Ironstone Residential Fund ARSN 115 654 138 (Fund), which describes risks related to an investment in the Fund as well as other important information about the Fund and Ironstone Funds Pty Ltd, the Fund Manager (Fund Manager).  Units in the Fund and the PDS are issued by Columbus Investment Services Limited ABN 58 106 064 644, AFSL 246943 (Responsible Entity). 

A copy of the PDS may be obtained by contacting info@ironstonefunds.com.au. A person must consider the PDS in deciding whether to acquire, or continue to hold units in the Fund.  The information given at or set out on this website does not purport to be complete.  This website is qualified in its entirety by all of the information contained in the PDS, including without limitation all of the warnings and disclaimers set out in the “Important Information” and the “Risks of Investing” sections of the PDS. 

This website does not constitute a part of the PDS. The information contained herein may not be reproduced, used or disclosed, in whole or in part, without the prior written consent of the Fund Manager or the Responsible Entity.  Past performance is not necessarily indicative of future results.  There can be no assurance that the Fund will achieve any targeted returns, that diversification or asset allocations will be met or that the Fund will be able to implement its investment strategy and investment approach or achieve its investment objective.  Statements contained on this website that are not historical facts are based on current expectations, estimates, projections, opinions and beliefs of the Fund Manager.  Such statements involve known and unknown risks, uncertainties and other factors, and undue reliance should not be placed thereon. 

Certain economic and market information contained herein has been obtained from published sources prepared by third parties and in certain cases has not been updated.  While such sources are believed to be reliable, neither the Fund Manager nor any other person including the Responsible Entity or any of their respective advisers, officers, affiliates or employees, assumes any responsibility for the accuracy or completeness of such information.  None of the Fund Manager, the Responsible Entity or any of their respective advisers, officers, affiliates or employees has made any representation or warranty, express or implied, with respect to the fairness, correctness, accuracy, reasonableness or completeness of any of the information contained on this website (including but not limited to information obtained from third parties unrelated to them), and they expressly disclaim any responsibility or liability therefore.  No person, including the Fund Manager and the Responsible Entity, has any responsibility to update any of the information provided on this website.

A unit in the Fund may not be suitable for all types of investors: its value and the income it produces may fluctuate and/or be affected by market conditions, exchange rates, interest rates, or other factors.  Prospective investors in the Fund should inform themselves as to the legal requirements and tax consequences of an investment in the Fund within the countries of their citizenship, residence, domicile and place of business.  No person guarantees the performance of the Fund or the amount or timing of any return from it.

No advice or recommendation

Neither this website nor the provision of the PDS is and must not be regarded as advice or a recommendation or opinion in relation to the Fund, or that an investment in the Fund is suitable for you or any other person.  Neither this website nor the PDS takes into account your investment objectives, financial situation and particular needs.  In addition to carefully reading the PDS you should, before investing, consider the appropriateness of investing or continuing to hold units, having regard to your own objectives, financial situation or needs.  The Fund Manager strongly recommends that you obtain independent financial, legal and taxation advice before deciding whether to invest in the Fund.