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Global Property Securities Fund
Fund overview
The AMP Capital Global Property Securities Fund provides access to global listed property investment opportunities through a single fund.
The Fund aims to generate medium to high returns over the long term by investing in Real Estate Investment Trusts (REITs) and listed property companies in Asia Pacific, North America, Europe, the Middle East and Africa. This has the potential to enhance the risk and return profile of an investor’s portfolio.
Investors in the Fund benefit from diversification by investing in around 60-75 stocks in more than eight different sectors across 20 different countries.
We offer an integrated investment approach via:
- on the ground portfolio managers and analysts
- a comprehensive and integrated team-oriented approach to portfolio construction
AMP Capital is a pioneer in offering global listed property to the wholesale Australian and Asian markets.
To take advantage of overall global conditions as well as country specific opportunities, the Fund’s investment style combines a stock specific (bottom-up) selection process with a macroeconomic (top-down) approach to regional and country allocation. Stock selection occurs at a regional level by individual property securities teams in Sydney, Chicago, London and Singapore.
Key features
- A portfolio diversified across sector and region with investments in property listed on stock exchanges around the world.
- The skills of one of the world’s largest specialist global listed property teams with on the ground resources in Sydney, Singapore, London and Chicago, with a proven track record in managing global property securities.
- The potential for stable, predictable income and capital gain.
- A global REITs and listed property companies portfolio – global REITs have relatively low correlations with equities and bonds, giving investors the potential to enhance the risk and return profile of their portfolio.
- Access to a broader range of property activities than are available in the Australian listed property market.
- Focus on minimising risk through prudent portfolio construction and constant monitoring of investment positions.
