TPT Income Funds – Updated PDSTPT Income Funds – Updated PDSTPT Income Funds – Updated PDSTPT Income Funds – Updated PDS
  • Managed Funds
    • Cash & Income Funds
    • Investment Growth Funds
    • Investment Returns
    • Investor Portal
    • Reports & Disclosures
  • Wills & Trustee Services
    • Wills & Estate Planning
    • Executor & Trustee Services
    • Charitable Trusts
    • Personal Injury Services
    • Guides & Policies
  • Commercial Lending
    • Full Documentation Loan
    • Self-Managed Super Fund Loan
    • Development Loan
    • Alternative Documentation Loan
    • Lease Documentation Loan
    • Interest Rates
    • Our Team
  • About Us
    • Our Team
    • News
    • Guides & Policies
    • Sustainability
    • Reconciliation
    • Careers
  • Contact Us
    • Make An Enquiry
    • Deceased Estates
    • Complaints & Feedback
    • Whistleblower
Investor Login
✕

TPT Income Funds – Updated PDS

14/02/2020
Categories
  • Cash & Income Funds
  • Continuous Disclosures
  • Managed Funds
  • TPT Wealth
Tags
Mortgage Fund | Income Funds

To reflect our new brand, TPT Wealth has changed the names of the Income Funds, and released a new Product Disclosure Statement (PDS) dated 2 December 2019. You can read the full Notice of Changes here, which outlines the material changes included in the Product Disclosure Statement (PDS). You can read or download the full length PDS document here.

Let us reassure you of our continued commitment to deploy our experience and knowledge in managing your funds diligently, just as we have done in the past.

Share

Related posts

23/07/2025

When should you update your Will?


Read more
18/07/2025

Investment tax statements


Read more
15/04/2025

A market update – April 2025


Read more

Recent Articles

  • When should you update your Will?23/07/2025
    Your Will is one of the most important legal documents you'll ever create. Here’s a handy list about when it’s recommended you update your Will.
  • Investment tax statements18/07/2025
    Tax and periodic statements for our managed funds are expected by late August to early September. Thank you for your patience as we finalise these documents.
  • A market update – April 202515/04/2025
    Head of Investment Management Jukka Viljanmaa comments on market volatility.

Categories

  • Cash & Income Funds
  • Charitable Trusts
  • Commercial Lending
  • Continuous Disclosures
  • Estate Planning
  • Growth Funds
  • Managed Funds
  • TPT Wealth
  • Wills & Estates

Site Search

Managed Funds
  • Cash & Income Funds
  • Investment Growth Funds
  • Investment Returns
  • Reports & Disclosures
  • Investor Portal
  • Investor Forms
  • Invest Today
Wills & Trustee Services
  • Wills & Estate Planning
  • Estate Administration
  • Charitable Trusts
  • Personal Injury Services

Commercial Lending
  • Full Documentation Loan
  • SMSF Loan
  • Development Loan
  • Alternative Documentation Loan
  • Lease Documentation Loan
  • Interest Rates
  • Our Team
About Us
  • Our Team
  • News
  • Guides & Policies
  • Sustainability
  • Reconciliation
  • Careers
Contact Us
  • Make An Enquiry
  • Deceased Estates
  • Complaints & Feedback
  • Whistleblower

Privacy Policy   Product Disclosure Statements (PDS)   Target Market Determinations

Disclosures – please read

This website contains information that’s intended to be general in nature and which has been prepared without taking into account the investment objectives, financial situation or particular needs of any particular person. It is essential that you obtain and read the relevant Product Disclosure Statements (PDS) and other disclosure documents including the Target Market Determinations, Financial Services Guide, Privacy Policy, Benchmark Disclosure Reporting and continuous disclosures, and you consider seeking independent professional financial, legal and taxation advice before making any financial decisions in relation to these products or services.

TPT Wealth Limited ABN 97 009 475 629 AFSL 234630 Australian Credit Licence Number 234630. A wholly owned subsidiary of MyState Limited ABN 26 133 623 962.

Investor Login
X
Calendar icon

Investor update: Tax and periodic statements for our managed funds are expected by late August to early September. Learn more