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Global Direct Property Fund

Fund overview

Our international direct property product, the AMP Capital Global Direct Property Fund, provides investors with access to global direct property investment opportunities.

The Fund invests in a strategic mix of international direct property assets in Europe, North America and Asia, with local expertise provided by our regional partners – AMP Capital in Asia, DTZ Asset Management SAS in Europe and Urdang Capital Management Inc. in North America.

The Fund focuses on the acquisition of ‘core’ and ‘core plus’ assets. Core assets are those considered to have secure and low risk cash flows over the medium to long term. Core plus assets are those which have the potential to become core assets over time, through active asset management strategies such as refurbishment, minor redevelopment initiatives or changes in the tenant mix.

In selecting properties, our property investment team works with regional specialists with expertise within their individual region’s property, financial and taxation environments. Our regional partners understand local dynamics and can identify appropriate investment opportunities in their respective regions.

Key features

For investors seeking access to international direct property, the Fund provides:
  • Opportunity for exposure to direct property investments in the European, North American and Pan-Asian regions.
  • Diversification across different types of direct property assets.
  • Potential for strong returns within a leveraged and tax efficient structure.
  • Access to the combined expertise of AMP Capital’s property investment teams and regional partners.
For further information regarding property investment, please contact:
Tim Nation
Head of Real Estate Capital
Ph: +61 2 9257 6129
Fx: +61 2 9257 1699
Email: tim.nation@ampcapital.com
 
APIR code  AMP0366AU - Wholesale
Investment objective To provide a return over a 3 year rolling period, after costs and before management and performance fees and tax, above the 3 year rolling performance benchmark.
Investment approach The Fund's strategy is to invest in 'core' and 'core plus' assets in each regional market. Core assets are those considered to have secure and low risk cash flows over the medium to longer term, whilst core plus assets are those which have the potential to become core assets, over time, through active asset management.
Minimum suggested timeframe 10 years
Distribution frequency Quarterly
Inception date  31 August 2006 - Wholesale
01 January 1960 - Wholesale
01 January 1960 - Wholesale
12 April 2000 - Z unit class
Minimum investment  A$ 10,000,000 - Wholesale
Status  Open - Wholesale
Terminated - Wholesale
Terminated - Wholesale
Open - Z unit class

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