October update

Dirk Morris and members of the BTIM team
Watch the BTIM investment team present their views on current market conditions and the outlook for investors.

Money Magazine Best Fund Manager 2009

Winner - Standard and Poor's 2008 Fund Awards

Smart Investor Blue Ribbon Award. Winner 2008

Money Management - Fund Manager of the Year

BT Global Return Fund

APIR code: RFA0028AU

Important Notice

19 December 2008

Effective as at 10.30 am (AEST), 19 December 2008, BT Investment Management has suspended withdrawals from the BT Global Return Fund (GRF). New and additional investments are also not currently being accepted into the Fund.

The decision follows receipt of notification today that the underlying manager of the GRF, Grosvenor Capital Management L.P. (“Grosvenor”), has taken action to segregate a portion of the less liquid assets of the Grosvenor Master Fund, Ltd (GMFL), in which the GRF invests. The result of these assets being segregated is that they are not currently available to meet redemptions in the GRF. Grosvenor has not suspended redemptions in the GMFL.

Grosvenor’s actions and BTIM’s subsequent decision to initiate the suspension have been made to protect investors’ interests and to ensure that continuing investors are not disadvantaged by withdrawals from the GRF. This is because allowing investors to withdraw would mean that the continuing investors would hold an increasing proportion of the segregated (less liquid) assets.

It is currently expected that investors in the GRF will continue to receive distributions to the extent that distributable income is available.

Unit prices will continue to be calculated once a month as at the last Business Day of the month and will be generally available 11 business days after the end of the month. However, these are indicative unit prices and investors will not be able to transact on these prices. If an investor makes a redemption request during the time of the suspension, the unit price that will apply once the suspension lifts will be the price determined based on asset values at that time in accordance with the Fund’s constitution.

We will continue to update investors with developments as these become available.

Unit Price

1. File description: Performance Update [72.6KB]

File name: BT_Global_Return_Fund_RARGR_-_November_08.pdf

2. File description: Fact Sheet [83.2KB]

File name: BT-Wholesale-Funds-BT-Global-Return-Fund-RFA0028AU-factsheet.pdf

3. File description: Annual Report [987.5KB]

File name: BT_Global_Return_Fund.pdf