Important notices

Please refer to this page for important notices and updates on our products, features, fees and process changes.

Variable Interest Rate Increase
Date of Notice: Wednesday, 8 August 2018

Variable interest rates will be increasing by 0.14% on Friday, 10 August 2018.

This change will be applicable for the following facilities:

  • Margin Loan
  • Investment Funds Multiplier

There will be no change to the interest rate for the Direct Investment Loan.

The Interest Rate Schedule will be varied on 10 August 2018 to reflect the change.

If you have any questions relating to the rate change, please contact your Relationship Manager on 1300 307 807.


Customer access to LEWEB
Date of Notice: Thursday, 11 January 2018

Access to the LEWEB online service will cease as at 4pm AEST on Thursday, 22 March 2018.

To monitor your loan account after this date, please login to LeverageOnline using your Facility Access Code (FAC) and Password.

For first time users, a guide has been created to help navigate LeverageOnline. You can access a pdf of the guide here.

If you do not have a FAC or have difficulties logging into LeverageOnline, please contact your Relationship Manager on 1300 307 807.

Leveraged will never request your personal details via email and you should not respond to any such emails.


Fee Schedule update
Date of notice: 21 December 2017

The Fee Schedule for the Margin Loan, Investment Funds Multiplier and Direct Investment Loan will be varied to introduce three new fees.

These are:

  1. Off Market Transfer Fee - $25 per security
  2. Late Settlement of Buy Contract Note - $30 per contract note; and
  3. Late Settlement of Sale Contract Note - $30 per contract note.

The Fee Schedule will be varied on 1 January 2018 to introduce these fees.


Revised Agreements
Dates: 2013, 2014, 2015, 2017 and 2018

Revised Agreement 2013

Revised Agreement 2014

Revised Agreement 2015

Revised Agreement 2017

Revised Agreement 2018


Address for Service - Notice of Verification Statement

This notice is given under section 157 of the Personal Property Securities Act 2009. It is made in accordance with the Personal Property Securities (Approved Form) Instrument 2011.

On 30 April 2012, a change was made to the Address for Service of the Secured Party Group listed in Schedule 1 below (Secured Party Group). The change to the Address for Service is detailed in Schedule 2 below (Address for Service Change).

Schedule 1 - Secured Party Group
Secured party group number: 101439973
Secured party details: LEVERAGED EQUITIES LIMITED
ABN 26 051 629 282, AFSL 360118

Schedule 2 - Address for Service Change
Secured party group number: 101439973
Secured party details: LEVERAGED EQUITIES LIMITED
ABN 26 051 629 282, AFSL 360118

Address for service:
Email: PPSRLeveragedEquities@bendigoadelaide.com.au

PPSR refinancing documents:
Margin Loan Agreement
IFM Agreement

Mailing address:
GPO Box 5388
Sydney NSW 2001
AUSTRALIA

Physical address:
Level 12
175 Pitt St
Sydney NSW 2000
AUSTRALIA