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Monthly newsletter
We greatly appreciate your business and I’d like to take this opportunity to say a wholehearted ‘thank you’ and wish you and your families a very happy and safe Summer break however you are planning to spend it.

Click here to read the full messsage from Executive Director Tim Slattery.

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Unfortunately, many retail investors tend to buy in at the top and sell out at the bottom because they let emotion drive their decision making rather than rational, fact-based analysis.

This short checklist will help you avoid that expensive mistake.

Click here to read full article.

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We are pleased to announce that we expect the remaining assets of the Fund will be liquidated by the end of December, with the Fund terminated by 20 March 2017.

Click here to find out more.

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Note to New Zealand investors
The APN AREIT Fund and the APN Asian REIT Fund comply with the FMCA regulations, effective from 1 December 2016, under the NZ financial markets law. The new warning notice of change for New Zealand investors (being the NZ disclaimer) has been inserted at the front cover of the PDS and Product guides. This notice has been updated in the PDS documents pursuant to ASIC Class Order [CO 03/237].

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Important information

This summary has been prepared by APN Funds Management Limited (APNFM) (ACN 080 674 479 ABN 60 080 674 479, AFSL No 237500) for general information purposes and whilst every care has been taken in relation to its accuracy, no warranty is given or implied. APNFM is a wholly owned subsidiary of APN Property Group Limited ACN 109 846 068. APNFM is the responsible entity and issuer of the APN Property Group products covered in this update. The information provided does not constitute investment advice and does not purport to contain all relevant information necessary for making an investment decision. It is provided on the basis that the recipient will be responsible for making their own assessment of their financial needs and will seek further advice about the investment as is considered appropriate. General risks apply to an investment in APN funds and must be considered before making an investment. Returns shown are for retail investors, net of fees and costs and are annualised for periods greater than one year. Returns and values may rise and fall from one period to another. Past performance is not an indication of future performance. This update may contain certain ‘forward-looking’ statements. Actual outcomes may differ materially from these forward-looking statements and no representation or warranty is given in relation to these including as to their completeness or accuracy on the basis on which they were prepared.

In deciding whether to invest or continue to hold an investment in an APN fund, a person should obtain a copy of the Product Disclosure Statement for the relevant fund and consider its content. We recommend that a person obtain financial, legal and taxation advice before making any financial investment decision. A copy of the PDS is available from APN Funds Management Limited, at Level 30, 101 Collins Street, Melbourne 3000 or by visiting

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APN Property Group Limited
Level 30, 101 Collins Street,
Melbourne, VIC 3000
T. +61 3 8656 1000