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FAQ

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Unit Holder Transactions

Redemptions

To redeem out of the Funds please complete a Redemption Form. A unitholder must give written notice to K2 by 2.00pm (AEST) on any given business day.

K2 will process your redemption and remit the proceeds via electronic transfer to your bank account once a NAV for the funds has been finalised.

In order to process your redemption you must provide an original executed form. It is recommended unitholders call K2 Client Services to confirm we have received your faxed instruction.

 

NEWS & MEDIA

K2: Australian Market Outlook - David Poppenbeek May 2010
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PRICE & PERFORMANCE
Daily Prices & Monthly Performance
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K2 Australian ARF

S&P rates this fund five stars, reflecting our very high conviction that the manager will consistently generate risk-adjusted returns in excess of both its relevant investment objectives and its peers.
— Standard & Poor’s Australian Equities review, August 19, 2010.

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