Otan Property Funds Management
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Flow of Funds

  1. Investor applies for cash units in the Otan Property Fund via Part A of the Product Disclosure Statement
  2. Investor selects a project and converts cash units to project units in the particular project via Part B of the Product Disclosure Statement
  3. Returns issued in cash units in the Otan Property Fund
  4. At the investor's choice, returns can be received (4a) or re-invested (4b) in part or whole


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