12th May 2017
Harbour Asset Management have advised us of a change to the structure of the Harbour Income Fund – effective Monday 19th June 2017.
For full details, please refer to the letter and Statement of Investment Policy & Objectives (SIPO) below:
- Letter – Amendments to the Retail Income Fund May 17 PIPs
- Retail Income Fund SIPO effective 19 June 2017 FINAL
Should you have any further questions with regards to this update, please contact Harbour Asset Management – (04) 460 8300 or email@example.com