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FSP Super Fund Supplementary Product Disclosure Statement Issued 14 September 2013 Issued by Oasis Fund Management Limited ABN 38 106 045 050, ADSL 274331 as Trustee of the FSP Super Fund (Fund).
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The issued by oasis fund is a financial document that records the distributions made to investors within the oasis fund.
The fund manager or administrator is responsible for preparing and filing the issued by oasis fund document.
The issued by oasis fund should be filled out by providing details of the distributions made to investors including the amount, timing, and recipients.
The purpose of the issued by oasis fund is to provide transparency to investors regarding the distributions made within the fund.
The issued by oasis fund must include details of the distributions made, including the amount, date, and recipient information.
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