ASCF Premium Capital
Consumer's investment objective
Capital Growth
Not in target market
Capital Preservation
Potentially in target market
Capital Guaranteed
Not in target market
Income Distribution
In target market
Yes, I understand fund is not capital guaranteed
In target market
Consumer's intended product use
Solution/Standalone - a large allocation (75-100% of portfolio)
Not in target market
Major Allocation - (50-75% of portfolio)
Not in target market
Core Component - a medium allocation (25-50% of portfolio)
Not in target market
Minor Allocation - (10-25% of portfolio)
In target market
Satellite - a small allocation (<10% of portfolio)
In target market
Consumer's investment timeframe
Short (<= 2 years)
Potentially in target market
Medium (>2 years)
In target market
Long (>8 years)
In target market
Consumer's Risk (ability to bear loss) and Return Profile
Low - can tolerate up to 1 period of underperformance over 20 years
Not in target market
Medium - can tolerate up to 4 periods of underperformance over 20 years
In target market
High - can tolerate up to 6 periods of underperformance over 20 years
In target market
Very High - can tolerate over 6 periods of underperformance over 20 years
In target market
Extremely High - the investor seeks extremely high risk, speculative or complex products
In target market
Yes, I can meet my financial obligations
In target market
Consumer's need to withdraw money
Daily
Not in target market
Weekly
Not in target market
Monthly
Not in target market
Quarterly
In target market
Greater than a year
In target market
At issuer's discretion
In target market
ASCF Select Income
Consumer's investment objective
Capital Growth
Not in target market
Capital Preservation
Potentially in target market
Capital Guaranteed
Not in target market
Income Distribution
In target market
Yes, I understand fund is not capital guaranteed
In target market
Consumer's intended product use
Solution/Standalone - a large allocation (75-100% of portfolio)
Not in target market
Major Allocation - (50-75% of portfolio)
Not in target market
Core Component - a medium allocation (25-50% of portfolio)
Not in target market
Minor Allocation - (10-25% of portfolio)
In target market
Satellite - a small allocation (<10% of portfolio)
In target market
Consumer's investment timeframe
Short (<= 2 years)
Potentially in target market
Medium (>2 years)
In target market
Long (>8 years)
In target market
Consumer's Risk (ability to bear loss) and Return Profile
Low - can tolerate up to 1 period of underperformance over 20 years
Not in target market
Medium - can tolerate up to 4 periods of underperformance over 20 years
In target market
High - can tolerate up to 6 periods of underperformance over 20 years
In target market
Very High - can tolerate over 6 periods of underperformance over 20 years
In target market
Extremely High - the investor seeks extremely high risk, speculative or complex products
In target market
Yes, I can meet my financial obligations
In target market
Consumer's need to withdraw money
Daily
Not in target market
Weekly
Not in target market
Monthly
Not in target market
Quarterly
In target market
Greater than a year
In target market
At issuer's discretion
In target market
ASCF High Yield
Consumer's investment objective
Capital Growth
Not in target market
Capital Preservation
Potentially in target market
Capital Guaranteed
Not in target market
Income Distribution
In target market
Yes, I understand fund is not capital guaranteed
In target market
Consumer's intended product use
Solution/Standalone - a large allocation (75-100% of portfolio)
Not in target market
Major Allocation - (50-75% of portfolio)
Not in target market
Core Component - a medium allocation (25-50% of portfolio)
Not in target market
Minor Allocation - (10-25% of portfolio)
In target market
Satellite - a small allocation (<10% of portfolio)
In target market
Consumer's investment timeframe
Short (<= 2 years)
Potentially in target market
Medium (>2 years)
In target market
Long (>8 years)
In target market
Consumer's Risk (ability to bear loss) and Return Profile
Low - can tolerate up to 1 period of underperformance over 20 years
Not in target market
Medium - can tolerate up to 4 periods of underperformance over 20 years
In target market
High - can tolerate up to 6 periods of underperformance over 20 years
In target market
Very High - can tolerate over 6 periods of underperformance over 20 years
In target market
Extremely High - the investor seeks extremely high risk, speculative or complex products
In target market
Yes, I can meet my financial obligations
In target market
Consumer's need to withdraw money
Daily
Not in target market
Weekly
Not in target market
Monthly
Not in target market
Quarterly
In target market
Greater than a year
In target market
At issuer's discretion
In target market