RIL Asset Allocation

Responsible Investment Leaders (RIL) Asset Allocation

The asset allocation of Responsible Investment Leaders Funds is based upon the strategic asset allocation of AMP Capital’s in-house Investment Strategy and Economics team. This strategic asset allocation is typically reviewed on an annual basis. During the year asset allocation is passively rebalanced within set ranges.

Detailed below are the current asset allocation benchmarks and ranges of the diversified Responsible Investment Leaders Funds. Actual asset allocation is detailed in the fund fact sheets.

Responsible Investment Leaders Balanced Fund

Sector

Benchmark
Ranges
Australian shares
38%
35-41%
International shares (unhedged)
18%
11-25%
International shares (hedged)
4%
0-8%
Alternatives
1%
0-4%
Australian listed property
5%
2-8%
Global listed property (hedged)
3%
0-6%
Direct property
5%
2-8%
Total Growth
74%
Australian bonds
18%
15-21%
International bonds
5%
2-8%
Cash
3%
0-6%
Total Income
26%



Responsible Investment Leaders Conservative Fund

Sector
Benchmark
Ranges
Australian shares
15%
12-18%
International shares
7%
4-10%
Australian listed property
3%
0-6%
Global listed property
2%
0-5%
Direct property
-
-
Total Growth
27%
Australian bonds
35%
32-38%
International bonds
13%
10-16%
Cash
25%
22-28%
Total Income
73%



Responsible Investment Leaders Growth Fund

Sector
Benchmark
Ranges
Australian shares
45%
42-48%
International shares (unhedged)
26%
19-33%
International shares (hedged)
7%
3-11%
Australian listed property
5%
2-8%
Global listed property (hedged)
3%
0-6%
Total Growth
86%
Australian bonds
8%
5-11%
International bonds
3%
0-6%
Cash
3%
0-6%
Total Income
14%

 

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