 |
Offshore Funds |
 |
 |
You must read
the following information for your own protection and benefit.
It explains certain legal and regulatory restrictions which
apply to any investment in the products referred to in this
website (the "Site"). When you have read the following
information, please click on the appropriate link below to
acknowledge that you have read and understood the information
and to return to the main part of the Site.
Content of this site is not to be construed as a solicitation or
recommendation: all the material on the site, including net
asset values (the "Material") has been prepared for
informational purposes only without regard to any particular
user's investment objectives, financial situation, or means, and
GS is not soliciting any action based upon such information. The
Material is not to be construed as a recommendation; or an offer
to buy or sell; or the solicitation of an offer to buy or sell
any security, financial product, or instrument; or to
participate in any particular trading strategy in any
jurisdiction in. Although the Material is based upon information
that GS in its reasonable discretion considers reliable and
endeavours to keep current, GS has not verified this information
and does not represent that this material is accurate, current,
or complete and it should not be relied upon as such. GS will
have no responsibility to maintain the Material or to supply any
corrections, updates or releases concerning the Material. By
accessing this site, you expressly acknowledge and agree that
the Material provided by us and our third party providers are on
an "as is" basis, and used at your sole risk. In particular, the
net asset values are calculated and prepared by the relevant
administrator and Goldman Sachs has relied upon those
calculations and preparations.
Content of the site does not constitute tax
advice and as such, shareholders or prospective shareholders
should be advised to consult their own tax advisers regarding
the tax consequences of their investment activities.
Past performance is no guide to future
returns. The value of the shares in the funds and the income
from them, if any, may fall as well as rise. Investing in the
funds involves risks, including those arising from stock and
bond market, currency exchange rate and interest rate
volatility. Because the return and principal value of an
investment in the funds will fluctuate with changes in market
conditions, an investor’s shares, when redeemed, may be worth
more or less than their original cost. Investors may also incur
a sales charge when purchasing shares, as a result of which, in
the absence of investment returns, investors will not get back
the amount invested.
You further expressly acknowledge that you have checked and
confirm that you; (i) are legally entitled to view this website;
(ii) are an existing investor in Goldman Sachs funds; and (iii)
understand that the information on the website is not a
promotion and that you will not treat it as such and that any
information on the website is not addressed specifically to you.
I confirm that I am not a
US Person (as defined in Regulation S of the US Securities
Act 1933).
No part of the content of this site may be (i)
copied, photocopied or duplicated in any form, by any means, or
(ii) redistributed without Goldman Sachs Asset Management’s prior
written consent.
Copyright © 2006, Goldman, Sachs & Co. All
rights reserved.
|
 |
 |
|
 |
|
|
 |
 |
 |