Pinnacle Series 6

The JB Global Pinnacle Units – Series 6 have matured on 15 December 2014.  It has delivered total returns to investors of approximately 25.41%* during the Investment Term. The Final Value will be 21.43% of the Notional Investment Amount.

*(comprised of the Final Value and Performance Coupons and reduced by the Performance Fees payable to the Lead Adviser and after conversion to AUD)

The JB Global Pinnacle Units Series 6 are designed to offer flexibility by offering Investors exposure to the performance of the US Real Estate market as measured by the iShares® Dow Jones US Real Estate Index Fund (denominated in US dollars*).

Key Features:

  • An investment term of approximately 3 years.
  • Potential for enhanced exposure to the relevant Reference Asset (because the Issue Price is a fraction of the Notional Exposure).
  • Suitable for self managed superannuation funds (“SMSFs”).
  • A variable Participation Rate, with the potential for a maximum of 150% (Series 4-6)** exposure to the relevant Reference Asset, depending on the volatility of relevant Reference Asset.
  • Contingent Coupons of up to 9% p.a. of the Notional Exposure per Unit paid at the end of the first 2 years of the Investment Term, depending on the performance and volatility of the relevant Reference Asset*** and the Participation Rate.
  • An Issue Price per Unit of $0.1485 (Series 6) is payable upfront in respect of the Investment Term. This provides you with a Notional Exposure of $1.00 per Unit.

* The potential returns (comprising Coupons and Final Value) for Series 6 are subject to movements in the AUD/USD exchange rate i.e. if the AUD/USD exchange rate increases, amounts payable in respect of the Units decrease. However, investors receive amounts in Australian dollars. Amounts payable are converted from US dollars to Australian dollars at the AUD/USD spot exchange rate at the relevant time.

** The minimum Participation Rate is 0% which means investors have no exposure to the relevant Reference Asset.

*** Net of performance fees payable to the Lead Adviser

Downloads:

The Issuer of the JB Global Pinnacle Units – Series 4-7 is JBG Structured Investments Pty Limited. In deciding whether to acquire, or hold an interest in the JB Global Pinnacle Units – Series 4-7, Investors should obtain the Product Disclosure Statement (PDS) dated 21 October 2011. This is available by from the links above or by contacting JB Global Investment Services on 1300 522 644.

JBG Pinnacle Series 6 – Initial Strategy Value

Initial Average Date

Initial Average Date 1

Initial Average Date 2

Initial Average Date 3

Average Initial Value

Date

15 December 2011

17 January 2012##

15 February 2012

.

Strategy Value

100.00

101.887

103.911

101.93

##Due to a public holdiay in the USA on 16th April, the 2nd observation occured on 17th January 2012.

JBG Pinnacle Series 6 – Final Strategy Value

Final Average Date

Final Average Date 1

Final Average Date 2

Final Average Date 3

Average Final Value

Date

15 October 2014

17 November 2014

15 December 2014

.

Strategy Value

121.7

129.3

129.31

126.77

JBG Pinnacle Series 6 – AUD/USD Rates

AUD/USD

Commencement Date

0.98715

JBG Pinnacle Series 6 – Perfromance Coupons

Date

17 December 2012

16 December 2013

15 December 2014

Amount (USD)

3.4567%

1.0771%

19.8327%

AUD/USD rate

1.0552

0.8945

0.82214

Amount (AUD)

2.91040%***

1.06979%***

21.4319%

*** Net of performance fees payable to the Lead Adviser

JBG Pinnacle Series 6 (IYR) Performance

DateIndicative Strategy Value Indicative Unit Value* Gross Performance
28-Feb-12103.67$0.01711.71%
10-Apr-12104.26$0.02292.29%
4-May-12109.17$0.07107.10%
1-Jun-12102.15$0.00220.22%
29-Jun-12107.24$0.05215.21%
27-Jul-12108.53$0.06486.48%
31-Aug-12109.29$0.07227.22%
28-Sep-12105.89$0.03893.89%
2-Nov-12105.97$0.03963.96%
30-Nov-12104.16$0.02192.19%
Coupon Paid. $0.0384 per Unit Gross
28-Dec-12104.94$0.00002.95%
1-Feb-13111.97$0.06019.85%
28-Feb-13111.63$0.05689.52%
27-Mar-13114.97$0.089512.79%
7-May-13123.86$0.176721.51%
31-May-13115.92$0.098913.73%
28-Jun-13111.48$0.05539.37%
31-Jul-13112.98$0.070010.84%
30-Aug-13107.77$0.01895.73%
30-Sep-13108.63$0.02736.57%
31-Oct-13111.47$0.05529.36%
29-Nov-13107.66$0.01785.62%
Coupon Paid. $0.011968 per Unit Gross
31-Dec-13107.72$0.00645.68%
31-Jan-14111.32$0.04179.21%
28-Feb-14116.92$0.096714.71%
31-Mar-14115.41$0.081813.22%
30-Apr-14119.6$0.123017.34%
30-May-14124.1$0.167121.75%
30-Jun-14124.58$0.171922.22%
31-Jul-14124.30$0.174121.95%
31-Aug-14130.60$0.235928.13%
30-Sep-14119.00$0.122116.75%
31-Oct-14129.00$0.220226.56%
28-Nov-14132.60$0.255630.09%
15-Dec-14MaturedMaturedMatured

* Unit Value: Investors please not this is a theoretical investment maturity value. This investment is designed to be held to maturity. It does not take into account any Averaging at Maturity. Any investors seeking to redeem prior to maturity may receive an amount significantly different to the Indicative Unit Value stated