APIR: AMP1992AU
Performance
1
Year
Year
3.30
3
Year
Year
1.18
5
Year
Year
0.18
Since Inception
2.16
Running Yield
Yield To Maturity
Data Current To: 01/04/2025
Information
Issuer: |
AMP Capital |
Sector: |
Multi |
Index: |
60% Bloomberg AusBond Composite Bond 0+ Yr Index, 40% Bloomberg Global Aggregate Index (Hedged to AUD) |
Inception Date: | 09/05/2014 |
Strategy: | The Fund aims to provide a total return (interest income and capital growth) after costs and before tax, above the Fund's performance benchmark (60% Bloomberg AusBond Composite Bond 0+ Yr Index, 40% Bloomberg Global Aggregate Index (Hedged to AUD)), on a rolling 3 year basis. The Fund may be suitable for investors who are seeking a diversified portfolio of Australian and international fixed income securities. The Fund aims to pay distributions quarterly. You should be aware that although the Fund aims to pay distributions, the amount of each distribution may vary, or no distribution may be payable in a distribution period. |
Details
Management Costs: | 0.76% p.a. |
Minimum Initial Amount: | $10000000 |
Income Distribution: | Quarterly |
Fund Size: | $163171503m (AUD) |