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TOUCHSTONE STRATEGIC TRUST 303 Broadway, Suite 1100 Cincinnati, Ohio 45202 (800) 6388194 Touchstone Flexible Income Fund Important Notice Regarding the Availability of this Information Statement The
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Start by gathering all the necessary information and documentation needed to fill out the Touchstone Funds Group Trust application.
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Read through the application form carefully, ensuring that you understand all the sections and requirements.
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Begin by providing the essential details, such as your personal or business information, including name, address, contact details, and tax identification number.
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Follow the instructions and provide any additional information or supporting documents as requested, such as financial statements, investment objectives, and risk tolerance.
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Review your filled-out application form thoroughly to ensure accuracy and completeness.
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Sign and date the application form as required.
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Submit the completed application form, along with any supporting documents, as per the instructions provided by Touchstone Funds Group Trust.

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Touchstone Funds Group Trust is suitable for individuals or institutional investors who are looking for professionally managed investment options.
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Touchstone Funds Group Trust is a collective investment vehicle that pools assets to be managed by professional investment managers, typically structured to allow multiple investors or funds to share investment and administration costs.
Generally, any entity or individual that engages in the operation of the Touchstone Funds Group Trust must file. This includes the trustees and investment managers involved in managing the trust.
Filling out the Touchstone Funds Group Trust typically involves providing detailed information about the trust's structure, trustees, investment strategy, and financial statements. It's advisable to refer to specific IRS forms or regulatory guidelines for accurate completion.
The purpose of the Touchstone Funds Group Trust is to facilitate pooled investment in a range of assets while benefiting from economies of scale and professional management, thereby providing diversification for investors.
Required information typically includes the names and addresses of trustees, a description of the trust's assets and liabilities, financial statements, investment income, and any distributions made to beneficiaries.
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