Tailored Investment Solutions

Tailored Investment Solutions Berkshire Hathaway Units

PDS cover

The Tailored Investment Solutions Berkshire Hathaway Units provide investors with exposure to the performance of Warren Buffett’s investment holding company, Berkshire Hathaway Inc B Class Shares measured in US Dollars.

Issued by Tailored Investment Solutions Pty Ltd and arranged by Valuestream Investment Management Limited (as arranger).

Features Include:

Key Risks

Product Disclosure Statement (PDS)

To download a PDS dated 23 June 2014 please click here.
To download a website notice for investors, click here.

Financial Services Guide

To view the Financial Services Guide of the Arranger of this investment, click here.

REFERENCE ASSET VALUE

Average Initial Reference Asset Value

Averaging Dates Reference Asset Level
(US$)
30 July 2014   127.74
29 August 2014   137.25
30 September 2014   138.14
Average Initial Reference Asset Value 134.38

Average Final Reference Asset Value

Averaging Dates Reference Asset Level
(US$)
30 May 2017   165.11
29 June 2017   169.30
27 July 2017   173.05
Average Final Reference Asset Value 169.15
Net Return*   22.21%

*After all fees and costs.

This investment is designed to be held to maturity. Any investors seeking to redeem prior to maturity may receive an amount significantly different to performance of the reference asset.

Important Information

Tailored Investment Solutions Berkshire Hathaway Units are issued by Tailored Investment Solutions Pty Ltd (ACN 169 320 905) (the “Issuer”) and arranged by Valuestream Investment Management Ltd (ACN 094 107 034, AFSL 246621).