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How the fund works
The AMP Capital Asian Equity Growth Fund is focused exclusively on Asian (ex Japan) equities. It provides investors with access to a portfolio which is diversified by sector and geography, with a significant exposure to China and India.
How does the fund meet investor needs?
Exposure to key growth markets
The fund provides investors with access to high growth markets in the Asian region including China and India, with their favourable demographics and high economic growth.
Potential for strong risk-adjusted returns (both capital growth and income) over the long term.
The fund is managed by an experienced and specialised Asian equities team with regional expertise across a range of countries and market cycles, and on the ground resources in our regional offices.
What are the key risks associated with the fund?
Risks specific to the fund include or are associated with share market investments, international investments, liquidity and derivatives. Please refer to the fund’s Product Disclosure Statement for more information.
||To provide total returns (capital growth and income) above the Fund's performance benchmark over the long term.
|Minimum suggested timeframe
||11 December 2008
||A$ 10,000 - Personal Investor/Off-platform Class H
|Risk level (1 - 7)
||7. Very High
||"MSCI All Country Asia ex-Japan Index - AUD (net dividends reinvested)"
The Fund's risk level is based on the estimated number of negative annual returns for the Fund over any 20 year period and is not a complete assessment of the risks of investing in the Fund. For instance it does not detail what the size of a negative return could be or the potential for a positive return to be less than an investor may require to meet their objectives. Consequently, before choosing to invest or reinvest in the Fund, you should read the Fund's PDS and incorporated information and consider factors such as the likely investment return, the risks of investing and your investment time frame. Information about the methodology used for calculating the risk level is available here.
How to invest
AMP Capital Funds Management Limited (ABN 15 159 557 721, AFSL 426455) (AMPCFM) is the responsible entity of the AMP Capital Asian Equity Growth Fund and the issuer of the units in the Fund. To invest in the Fund, investors will need to obtain the current Product Disclosure Statement (PDS) from AMP Capital Investors Limited (ABN 59 001 777 591, AFSL 232 497) (AMP Capital). The PDS contains important information about investing in the Fund and it is important that investors read the PDS before making a decision about whether to acquire, or continue to hold or dispose of units in the Fund. Neither AMP Capital, AMPCFM nor any other company in the AMP Group guarantees the repayment of capital or the performance of any product or any particular rate of return referred to in this information. Past performance is not a reliable indicator of future performance. While every care has been taken in the preparation of this information, AMP Capital makes no representation or warranty as to the accuracy or completeness of any statement in it including without limitation, any forecasts. This content has been prepared for the purpose of providing general information, without taking account of any particular investor’s objectives, financial situation or needs. Investors should, before making any investment decisions, consider the appropriateness of this information, and seek professional advice, having regard to their objectives, financial situation and needs.
Issuer and responsible entity: AMP Capital Funds Management Limited ABN 15 159 557 721, AFSL 426455. AMP Capital Funds Management Ltd is a member of the AMP Group which includes AMP Capital Investors Limited ABN 59 001 777 591, ASFL 232497 ("AMP Capital", "we" or "us").