APIR: AMP0676AU
Performance
1
Year
Year
5.36
3
Year
Year
4.08
5
Year
Year
3.55
Since Inception
6.62
Running Yield
Yield To Maturity
Data Current To: 31/07/2020
Information
Issuer: |
AMP Capital |
Sector: |
Multi |
Index: |
Bloomberg Barclays Global Aggregate Index (hedged in AUD) |
Inception Date: | 30/10/2002 |
Strategy: | The portfolio invests in a diversified portfolio of short and long-term global fixed income securities that may include government, government-related, corporate, asset backed and hybrid securities in both developed and emerging markets. |
Details
Management Costs: | 0.62% p.a. |
Minimum Initial Amount: | $500000 |
Income Distribution: | Quarterly |
Fund Size: | $1854m (AUD) |