Disclaimer
Brittany Larsen is a registered mutual fund representative with Quadrus Investment Services
in the Province of BC, and an independent life agent in the
Province of BC. Mutual funds offered through Quadrus Investment Services,
insurance through Financial Horizons Group.
The information on this website is not intended as financial advice without an
assessment of your personal situation. Always consult a lawyer or accountant
for detailed legal or tax advice.
Commissions, trailing commissions, management fees and expenses all may be
associated with mutual fund investments. Please read the simplified prospectus
before investing. Mutual funds are not guaranteed and are not covered by the
Canadian Deposit Insurance Corporation or by any other government deposit
insurer. There can be no assurances that the fund will be able to maintain its
net asset value per security at a constant amount or that the full amount of
your investment in the fund will be returned to you. Fund values change
frequently and past Performance may not be repeated. If you are not a resident
of British Columbia, you are welcome to visit our Web site; however, this Web site and
the products and services described herein were developed and are intended
exclusively for BC residents. The information contained on this site does
not constitute an offer or solicitation in any jurisdiction in which such offer or
solicitation is not authorized or to any person to whom it is unlawful to make
such offer or solicitation.
THIS SITE IS NOT THE PROPERTY OF QUADRUS INVESTMENT SERVICES LTD. THEY DO NOT HAVE ANY CONTROL OVER THE CONTENT OR THE USE OF THE SITE. QUADRUS INVESTMENT SERVICES LTD. SHALL NOT BE LIABLE OR RESPONSIBLE TO ANY PERSONFOR ANY HARM, LOSS OR DAMAGE (WHETHER ARISING IN CONTRACT, TORT, NEGLIGENCE OR OTHERWISE) THAT MAY ARISE DIRECTLY OR INDIRECTLY FROM THIS SITE, THE USE, INABILITY TO USE, OR MALFUNCTIONING OF THIS SITE OR THE INFORMATION CONTAINED HEREIN, INCLUDING ANY DIRECT, INDIRECT, SPECIAL, THIRD PARTY OR CONSEQUENTIAL DAMAGES.
Notification of Access to Personal Information for Regulatory Purposes
For regulatory purposes, self regulatory organizations including Market
Regulation Services Inc., the Investment Dealers Association of Canada, the
Mutual Fund Dealers Association of Canada, Bourse de Montreal Inc., and the
Canadian Investor Protection Fund (collectively, & “SRO’S) require access to
personal information of current and former clients, employees, agents,
directors, officers, partners and others that has been collected or used by
Regulated Persons. SRO’s collect, use or disclose such personal information
obtained from Regulated Persons for regulatory purposes, including:
Surveillance of trading-related activity,
Sales, financial compliance, trade desk review and other regulatory
audits,
Investigation of potential regulatory and statutory violations,
Regulatory databases,
Enforcement or disciplinary proceedings,
Reporting to securities regulators, and
Information-sharing with securities regulatory authorities, regulated
marketplace, other self-regulatory organizations and law enforcement
agencies in any jurisdiction in connection with any of the foregoing.