Home > Investing with us > Property > Global Property Securities Fund Overview Australian equities Australian Equity Opportunities Fund Enhanced Index Share Fund Equity Fund Sustainable Share Fund More funds Global fixed income and cash Corporate Bond Fund AMP Capital Macro Strategies Fund Wholesale Australian Bond Fund More funds Infrastructure AMP Capital Diversified Infrastructure Trust Community Infrastructure Fund Global Infrastructure Securities Fund (Hedged) Global Infrastructure Securities Fund (Unhedged) Infrastructure Debt Fund III More funds International equities China Growth Fund Multi-asset and diversified Dynamic Markets Fund Extended Multi-Asset Fund More funds Multi-manager RIL Australian Share Fund RIL Balanced Fund RIL Diversified Fixed Income Fund RIL International Share Fund More funds Property AMP Capital Diversified Property Fund Global Property Securities Fund US Plus Property Fund Listed Property Trusts Fund Shopping Centre Fund Wholesale Office Fund More funds Global Property Securities Fund The fund aims to provide income and capital growth by investing in a diversified portfolio of real estate securities listed on equity markets around the world. Why invest in the fund? A rigorous and disciplined investment processOur investment approach aims to deliver superior investment outcomes for our clients. We take an institutional approach to research, valuation and portfolio construction, and combine this with systematic risk management at each stage of the process. By actively managing the fund, we are able to act on market opportunities as they arise and where we have a high conviction in the performance potential of specific companies. More investment opportunities through regional and sector diversificationThe fund invests in Australian and global listed real estate. This means investors have access to a broader range of real estate regions, sectors and securities which provide the potential for income and capital growth. Local real estate specialists understand the dynamics of their regionInvestors benefit from the real estate securities skills of our teams on the ground in Sydney, Hong Kong, London and Chicago. These teams provide insights into local trends and changing market conditions. How to invest For more information on how to invest in the AMP Capital Global Property Securities Fund, or to learn about our listed real estate capabilities, please contact us. What are the key risks? Risks specific to real estate investments include illiquidity, as well as the risks of investing in real estate markets. In addition, the risks associated with interest rates, gearing and the cost of debt, derivatives, investment management, co-ownership of assets, fluctuations in rental income, rental demand and fund termination risks. Prospective investors should refer to the Offer Memorandum and consider factors relating to investment risks. As a result of risk factors, as well as other risks inherent in any investment, an investment in the fund is not appropriate for all investors. There can be no assurance that the fund will meet its investment objective or that investors will receive a return of their capital. Prospective investors should consult with their own advisors before deciding to invest in the fund. The team James Maydew Head of Global Listed Real Estate Read bio James Maydew Head of Global Listed Real Estate BSc (Hons), MRICS Close James Maydew is AMP Capital's Head of Global Listed Real Estate, based in Sydney. Mr Maydew commenced in the real estate industry in 2002, starting his career as a chartered surveyor in London working within the capital transactions division of Cushman & Wakefield. Mr Maydew joined AMP Capital's Shopping Centres division in 2006 before transferring to the firm's global listed real estate team one year later. Mr Maydew holds a Bachelor of Science in Real Estate Investment and Finance from the University of Reading and is a fully accredited member of the Royal Institution of Chartered Surveyors. Fund facts Direct Investment APIR code AMP1073AU Investment objective To provide total returns (income and capital growth) after costs and before tax, above the Fund's performance benchmark on a rolling 3 year basis. Minimum suggested timeframe 5 years Distribution frequency Quarterly Inception date 10 April 2006 Minimum investment A$ 10,000 - Personal Investor/Off-platform Class H Risk level (1 - 7) 6. High Benchmark AMP International Property Index Fund Benchmark Status Open Investment objective To provide total returns (income and capital growth) after costs and before tax, above the Fund's performance benchmark on a rolling 3 year basis. Minimum suggested timeframe 5 years Distribution frequency Quarterly Minimum investment A$ 10,000 - R unit class Risk level (1 - 7) 6. High Benchmark AMP International Property Index Fund Benchmark 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 Direct Investment 1 Read the offer document(s) PDSIncorporated informationFinancial Services Guide About PDS PDS updates 2 Getting started online Supporting material 3 Complete the application Apply onlineDownload form AMP Capital Funds Management Limited (ABN 15 159 557 721, AFSL 426455) (AMPCFM), is the responsible entity of the AMP Capital Global Property Securities Fund (Fund) and the issuer of the units in the Fund. To invest in the Fund, Investors should consider the current information memorandum or other offering or placement memorandum (Offer Document) available from AMP Capital Investors Limited (ABN 59 001 777 591, AFSL 232497) (AMP Capital) for the Fund. The Offer Document contains important information about investing in the Fund and it is important that investors read the Offer Document before making a decision about whether to acquire 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 document. Past performance is not a reliable indicator of future performance. While every care has been taken in the preparation of this document, AMP Capital makes no representation or warranty as to the accuracy or completeness of any statement in it including without limitation, any forecasts. Actual future results and operations could vary materially from any forecasts, estimates, or opinions. AMP Capital will not necessarily update the recipient of this document if any facts set out in this document subsequently change. This document 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 the information in this document, and seek professional advice, having regard to their objectives, financial situation and needs. Unit prices Important: The unit prices displayed in this section are indicative only. If unit prices are not available for today then the latest available prices will be displayed. Unit prices are not calculated on weekends or public holidays. Our unit price discretion policy states where we may exercise certain discretions in determining the unit price of units on application or withdrawal in each investment option. View and download our Unit Pricing Discretions Policy for the types of discretions that we may exercise, in what circumstances, our policies on how we exercise the discretions and the reasons why we consider our policies are reasonable. AMP Capital funds NMFM Unit Trust funds Unit prices are provided for your information only and are not guaranteed. They are based on historical data and you should not rely on the above information as the basis for making any investment, financial or other decision as past unit prices are not a reliable indicator of future unit prices. During the time it takes to process an application or redemption application, the unit price may vary and the actual unit prices applying to applications and redemptions may differ from those displayed in this section. Actual unit prices can be confirmed on receipt of a completed application or redemption form. None of AMP Capital Funds Management Limited (ABN 15 159 557 72, AFSL 426455), AMP Capital Investors Limited (ABN 59 001 777 591, AFSL 232497), National Mutual Funds Management Limited (ABN 32 006 787 720, AFSL 234652), or any company within the AMP Group makes any representation or warranty as to the reliability, completeness or accuracy of the unit price information or accepts any responsibility arising in any way (including by reason of negligence) for errors in or omissions from the unit price information. The information in this section is not an offer or recommendation of securities or other financial products offered by the AMP Group and is not an invitation to take up securities or other financial products. Investors should consider the relevant PDS available from us for the relevant fund before making any decision regarding the product. Direct Investment20/02/2018Buy0.85581Sell0.85069Platform20/02/2018Buy1.04109Sell1.03486 Performance reports Direct Investment Investment Value AUD ($'000) Enlarge Performance report (PDF) Archived December 2017 November 2017 October 2017 September 2017 August 2017 July 2017 June 2017 May 2017 April 2017 March 2017 February 2017 January 2017 December 2016 November 2016 October 2016 September 2016 August 2016 July 2016 June 2016 May 2016 April 2016 March 2016 February 2016 January 2016 December 2015 November 2015 October 2015 September 2015 August 2015 July 2015 June 2015 May 2015 April 2015 March 2015 February 2015 January 2015 December 2014 November 2014 October 2014 September 2014 August 2014 July 2014 June 2014 May 2014 April 2014 March 2014 February 2014 January 2014 December 2013 November 2013 October 2013 September 2013 August 2013 July 2013 June 2013 May 2013 April 2013 March 2013 February 2013 January 2013 December 2012 View report Fund updates and related information Fund communications Annual Report About the PDS: You will find the following offer documents for this fund: PDS Incorporated information (the information incorporated by reference in the PDS, and which forms part of the PDS) Before making a decision about investing or reinvesting, you should read both documents. These documents can also be obtained by contacting us on 1800 188 013.