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Australian Core Property Portfolio
Fund overview
Our flagship domestic property product, The Australian Core Property Portfolio offers investors exposure to a diversified mix of core property across the office, retail and industrial sectors predominately in the Australian market.
With a focus on quality property and blue-chip lease covenants, the Australian Core Property Portfolio aims to provide strong risk-adjusted performance, with income and capital growth over the long-term. The emphasis is on low volatility underpinned by diversity and strength in income stream.
This fund is a component of AMP Life's Statutory Fund No 2, with approx. $4.7 billion under management (at 30.06.10).
Key features
- An established portfolio of retail, office and industrial properties with 87% weighting to prime office and regional retail.
- A consistent and sustainable income stream – the Portfolio has an excellent record of tenant retention and high occupancy.
- The potential for capital growth – Australian office markets have solid fundamentals and there is a limited supply of premium grade assets in Sydney and Melbourne.
- A sound risk-adjusted return – the diversification of the Portfolio and the stability of the income stream, combined with low gearing, mitigates against risk.
- Access to AMP Capital’s expertise and experience in sourcing and managing property assets and in property investment and management.
