News

  • Bloomberg article compares "Top-Ranked Tyndall" with rival PIMCO

    In a recent article, Bloomberg journalists compared the views of Tyndall AM with rival fixed interest manager, PIMCO. Noting that the Tyndall Australian Bond Fund has beaten four-fifths of its competitors this year, the article examines the differing views on the future direction of the Australian bond market of Tyndall's head of fixed income, Roger Bridges and PIMCO's head of portfolio management, Robert Mead.   > tell me more >  

  • Tyndall AM’s parent company, Nikko AM named “Asia-Based Asset Manager of the Year”

    Tyndall AM’s parent company, Nikko AM named “Asia-Based Asset Manager of the Year”. We are pleased to announce that Nikko Asset Management is the winner of a number of categories in the coveted annual AsianInvestor Investment Performance Awards 2012.    > tell me more >  

  • Winner in Money magazine’s 2012 Best of the Best award for Australian Fixed Interest Funds

    Tyndall has won Money magazine’s 2012 Best of the Best award for Australian Fixed Interest Funds. > tell me more >  

Archived News

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Unit Prices

A simple way to track your unit prices.

Tyndall:

Fund Name Date Purchase Redemption
Tyndall Australian Share Wholesale Portfolio 16/05/2012 1.81730 1.80650
Tyndall Australian Share Portfolio 16/05/2012 1.24100 1.23350
Tyndall Australian Share Value Fund 16/05/2012  0.65680 0.65290
Tyndall Australian Share Income Fund 16/05/2012 1.07990 1.07350
Tyndall Australian Share Concentrated Income Fund 16/05/2012 0.98380 0.97790
Tyndall World Equities Fund 16/05/2012  0.86610 0.86060
Tyndall Australian Bond Fund 16/05/2012 1.12120 1.12050
Tyndall Diversifed Bond Fund 16/05/2012 0.88650 0.88340
Tyndall International Bond Fund 16/05/2012  1.08800 1.08130
Tyndall Cash Fund - Class A Units 16/05/2012  100.11400 100.11400
Tyndall Cash Fund - Class B Units  16/05/2012 100.76350 100.76350
Tyndall Enhanced Cash Fund 16/05/2012  1.03310 1.03000

SIM Wholesale Funds:

Fund Name Date Purchase Redemption
SIM Wholesale Australian Equities Fund 16/05/2012 0.91220 0.90680
SIM Wholesale Australian Fixed Interest Fund 16/05/2012 0.95170 0.95120
SIM Wholesale Balanced Fund 16/05/2012 0.94590 0.94190
SIM Wholesale Conservative Fund 16/05/2012 0.94630 0.94310
SIM Wholesale Growth Fund 16/05/2012 0.93100 0.92590
SIM Wholesale International Equities Fund 16/05/2012 0.96160 0.95550
SIM Wholesale Imputation Fund 16/05/2012 0.92220 0.91660
SIM Wholesale Property Securities Fund 16/05/2012 0.54810 0.54480

SIM Trusts:

Fund Name Date Purchase Redemption
SIM Australian Equities Trust 16/05/2012 1.51290 1.50380
SIM Australian Fixed Interest Trust 16/05/2012 0.94670 0.94620
SIM Property Securites Trust 16/05/2012 0.72040 0.71610
SIM World Fixed Interest Trust 16/05/2012 0.95060 0.94470