(1) Every investment statement must contain, in a succinct manner, all of the information, statements, and other matters specified in Schedule 13 that are applicable to the securities to which the investment statement relates.
(2) Subclause (1) applies in addition to the other requirements set out in the Act.
(3) An investment statement may state that additional information about a matter specified in Schedule 13 is set out in a registered prospectus (or, in the case of a registered bank, a disclosure statement).
(4) Nothing in this regulation or regulations 20 and 21 limits the information, statements, or other matters that may be contained in an investment statement.
Compare: SR 1983/121 r 7A(1), (2), (5)