AFM Fund Profile — TAMIM Fund: Australia Small Cap Income

Fund & Manager Details

Key Facts

Fund Type: Single Discretionary/Quantitative: Discretionary
Strategy: Equity Long FUM (millions):
Style: Blend Fund Inception Date: Since 31 December 2018
Geographic Mandate: Australia/NZ Latest Return Date: February 2025
Fund Domicile: Australia Investor Type: Wholesale
Status: Open Reporting Status: Pending

Manager Details and Fund Description

Manager: TAMIM Asset Management Total FUM for all funds: AU$220m
Manager Overview:
TAMIM Asset Management, founded in February 2015 by Jeff Taitz and joined six months later by Darren Katz, is a boutique investment house offering a diverse range of investments in both individually managed account and unlisted unit trust structures.
Fund/Strategy Overview:
The Fund aims to outperform the benchmark (RBA Cash Rate +2.5%) over rolling 5 year periods via an actively managed ASX-listed equity portfolio consisting of a concentrated mix of dividend paying companies exhibiting value and growth characteristics.

The Australia Small Cap Income portfolio is structured around the key themes of:
- Strong businesses with value and growth characteristics; and
- Cash generating businesses paying regular dividends.
Other funds operated by manager:
TAMIM Australia All Cap, TAMIM Fund: Credit, TAMIM Fund: Global High Conviction Unit Class

Investment Details

Investment Terms

Minimum Investment: Minimum Additional Investment: Minimum Term: Investment Frequency:
AU$250,000 AU$10,000 Monthly
Regular Savings Option: Regular Savings Min. Amount : Regular Savings Max. Amount : Regular Savings Freq.:
No N/A 
Redemption Notice: Redemption Frequency: Notes:
30 Days Monthly
Distributions: Distribution Frequency: Last Distribution Date: Last Distribution Amount:
Yes 6 Monthly AU$

Structure

Offshore/Onshore: Fund Structure: Share Classes: Trustee/Responsible Entity:
Onshore Unit Trust AU$ CTSP Funds Management
Administrator: Prime Broker: Custodian: Legal:
Mackenzie Managed Funds Interactive Brokers Interactive Brokers PMC Legal

Fund Fees

Management Fee: Performance Fee: High Water Mark: Hurdle:
1.25% 20% Yes RBA Cash Rate +2.5%
Buy Spread: Sell spread: Early Redemption Fee: Fees Notes:
0.250% 0.250% No

Performance & Risk

Returns

Latest Return Date: Latest Result: Fund Inception Date: Annualised Return:
February 2025 -6.75% 31 December 2018 10.94%
Latest 3 Months: Latest 6 Months: Latest 12 Months: Latest 2 Years p.a.:
-2.55% 3.70% 9.74% 10.91%
Latest 3 Years p.a.: Latest 4 Years p.a.: Latest 5 Years p.a.: Latest 7 Years p.a.:
1.66% 6.37% 8.05% N/A

Performance Statistics

% Positive Months (S.I.): Average Return: Average +ve Return: Average -ve Return:
67.57% 1.15% 4.06% -4.93%
Best Month: Worst Month: Up Capture Ratio (S.I.): Down Capture Ratio (S.I.):
16.46% -40.88% 116.84% 105.32%
Largest Drawdown (S.I.): Longest Drawdown (S.I.): Current Drawdown (%): Current Drawdown (Months):
-45.92% 32 months -6.75% 1 months

Risk

Annualised Standard Deviation (S.I.): Downside Deviation (S.I.): Sortino Ratio (S.I.): -
23.70% 18.57% 0.46 -
Sharpe Ratio (12 months): Sharpe Ratio (3 years): Sharpe Ratio (5 years): Sharpe Ratio (S.I.):
0.49 -0.03 0.38 0.50
Please note, Sharpe and Sortino ratios are calculated using the Australian Risk Free Rate

Ranking, Research & Availability

Fund Quintile in its Peer Group (Equity Long - Small/Mid Cap - Australia) as at January 2025

AFM's Quintile Rankings show performance and Key Performance Indicators (KPI's) of TAMIM Fund: Australia Small Cap Income compared to a peer group of funds with a similar strategy and geographic mandate. Each green square places a fund in one quintile (or 20%) of its peer group - five indicating that the fund is in the top (best) quintile for the corresponding KPI.

As a reference point the equivalent "quintile" performance of the peer group's underlying market index is also indicated by the red dot.

1 Year
3 Year
5 Year
7 Year
TAMIM Fund: Australia Small Cap Income
ASX200 Total Return

External Research and Ratings: As reported by each Fund Manager.

No external fund ratings provided

Availability:As reported by each Fund Manager.

Available on Investment Platforms:
OLIVIA123

News & Insights

PharmaFun: Broad Strokes, Covid-19 & Revisiting Pfizer
22 Nov 2021 - TAMIM Asset Management
This week we begin a new series centred around the global pharmaceutical sector with a particular eye to ascertaining where the opportunities and risks may be. Going back to our broader macro views, in particular around inflation, this...
Read more...

Fund Documents

Manager's Report



Fund Performance

Historical Performance (all figures shown here are net of fees unless otherwise stated)

Year Jan % Feb % Mar % Apr % May % Jun % Jul % Aug % Sep % Oct % Nov % Dec % YTD %
2025 0.87 -6.75 N/R N/R N/R N/R N/R N/R N/R N/R N/R N/R -5.94
2024 -3.42 3.11 4.88 -1.84 -0.35 0.83 2.96 -0.64 6.93 0.80 -1.27 3.60 16.18
2023 3.75 -2.14 -3.04 4.79 -6.43 2.05 3.68 0.49 0.48 -5.89 5.19 11.95 14.28
2022 -5.29 1.25 2.05 -2.42 -6.46 -8.83 6.74 3.45 -5.59 -2.37 -1.43 -1.25 -19.32
2021 3.68 3.88 1.85 6.12 0.34 1.54 4.49 2.27 0.59 5.55 -0.87 2.60 36.86
2020 2.19 -8.52 -40.88 16.46 10.24 0.73 3.75 13.73 -0.65 2.58 12.81 2.97 -0.16
2019 -1.07 7.97 1.03 3.07 1.99 -0.97 5.05 3.79 4.76 0.91 5.67 0.69 37.77

Historical Financial Year Performance (all figures shown here are are percentage per month net of fees unless otherwise stated)

Year Jul % Aug % Sep % Oct % Nov % Dec % Jan % Feb % Mar % Apr % May % Jun % FYTD %
2024/2025 2.96 -0.64 6.93 0.80 -1.27 3.60 0.87 -6.75 N/R N/R N/R N/R 6.09
2023/2024 3.68 0.49 0.48 -5.89 5.19 11.95 -3.42 3.11 4.88 -1.84 -0.35 0.83 19.51
2022/2023 6.74 3.45 -5.59 -2.37 -1.43 -1.25 3.75 -2.14 -3.04 4.79 -6.43 2.05 -2.41
2021/2022 4.49 2.27 0.59 5.55 -0.87 2.60 -5.29 1.25 2.05 -2.42 -6.46 -8.83 -6.03
2020/2021 3.75 13.73 -0.65 2.58 12.81 2.97 3.68 3.88 1.85 6.12 0.34 1.54 65.67
2019/2020 5.05 3.79 4.76 0.91 5.67 0.69 2.19 -8.52 -40.88 16.46 10.24 0.73 -12.35
2018/2019 N/R N/R N/R N/R N/R N/R -1.07 7.97 1.03 3.07 1.99 -0.97 12.34