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Disclaimer
All calculations are used for
comparative purposes to help you gauge the
relative productivity of present and
alternative plans. The calculations are
hypothetical illustrations. They are based
upon your assumption that current products,
tax and other laws, and annual cash outlays,
all of which are subject to change, will
continue unchanged for the stated number of
years. It is not likely you will achieve the
exact results illustrated in any of these
calculations, since it is impossible to
predict the effect of possible changes of your
individual situation. Any interest, dividend
or rates of return calculations shown are for
purposes of illustration only and are neither
guarantees nor estimates of actual
performance.
There is no warranty or guarantee of success
with the use of the model and no one is
authorized to make such a representation. The
client accepts full responsibility for his or
her own financial decisions and for the
consequences of those decisions. There is no
legal or tax advice given with the use of this
analysis. The client may wish to consult his
or her own tax, legal, or other advisor.
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