| Capital Markets Industry | Financials Sector | Mr. Ian Macoun B Com, B.Com., C.F.A., DipFinSer(FP), FAICD, FCPA CEO | CXA Exchange | - ISIN |
| Australia Country | - Employees | 1 Mar 2026 Last Dividend | - Last Split | 19 Jun 2007 IPO Date |
Pinnacle Investment Management Group Limited is a distinguished investment management company based in Sydney, Australia, with a storied history dating back to 1895. Initially known as Wilson Group Limited, the company underwent a rebranding in August 2016, adopting its current name to better reflect its comprehensive range of services and its status in the investment community. With additional offices in Brisbane, Melbourne, and London, Pinnacle extends its reach beyond the Australian market, offering a global perspective to its investment strategies. The company is renowned for providing expert third-party distribution, fund infrastructure, and support services to its affiliates and a diverse portfolio of investment managers. Operating as a corporate trustee and responsible entity for both retail and wholesale investment trusts, Pinnacle Investment Management Group Limited stands as a pillar of excellence in the global investment management landscape.
Pinnacle offers comprehensive third-party distribution services, leveraging its far-reaching network and expertise to facilitate the effective distribution of funds. This service is central to the company's value proposition, allowing investment managers to broaden their reach and access pivotal markets with efficiency and reliability.
Understanding the intricate requirements of fund management, Pinnacle provides essential infrastructure and support services. These services are tailor-made to bolster the operational capacities of affiliates and investment managers, ensuring seamless administration and management of investment funds.
As a corporate trustee and responsible entity, Pinnacle takes on the critical role of overseeing retail and wholesale investment trusts. This responsibility encompasses ensuring compliance with legal and regulatory obligations, protecting the interests of investors, and maintaining the integrity of the investment products under its care.