The information that you provide us in this application and which you may provide us in the future may be used by Fisher Funds, the Supervisor and any related entities of either, your financial adviser or the distribution entity through which you joined the Scheme (if applicable) and by other service providers to the Scheme to provide services in relation to your investment and to promote to you other products and services. You have the right to access the information held by us and you may also request that it be corrected by contacting us. We will provide you (on request) with the name and address of any entity to which information has been disclosed.
Our Fund Updates describe key information about each fund by providing you with information on how the fund has performed and what fees are charged. You can use these updates to compare each fund to help you work out which is right for you.
We also include a risk indicator, what assets the fund is invested in and who the key people are at Fisher Funds making investing decisions and managing each fund.