AMP Capital FD Intl Bond A (AMP0677AU) Report & Performance

What is the AMP Capital FD Intl Bond A fund?

The Future Directions International Bond Fund gives investors access to fixed or floating interest rate securities in countries around the globe – these securities may include government securities, government-related securities, corporate securities, asset-backed securities and hybrid securities (such as convertible notes) in both developed and emerging markets.

  • The Fund takes a multi-manager approach, blending specialist investment managers from around the world who demonstrate competitive advantages in their fields of investments.
  • This approach involvess etting objectives and asset allocation, targeted manager selection, portfolio construction and implementation and ongoing portfolio / manager review.
  • The objective is to provide a total return, after costs and before tax, higher than the return from the benchmark on a rolling 3 year basis. The benchmark for the Fund is the Bloomberg Barclays Capital Global Aggregate Index $A Hedged.

Growth of $1000 Investment Over Time

Performance Report

Peer Comparison Report

Peer Comparison Report

Product Snapshot

  • Performance Review
  • Product Overview
  • Peer Comparison
  • Product Details

Performance Review

Fund Name Last Month
? Returns after fees in the most recent (last) month).
3 Months Return
? Returns after fees in the most recent 3 months.
1 Year Return
? Trailing 12 month returns.
3 Years Average Return
? Average Annual returns from the last 3 years.
Since Inc. Average Return
? Average (annualised) returns since inception
1 Year Std. Dev. (Annual)
? The standard deviation (or annual volatility) of the last 12 months.
3 Years Std. Dev. (Annual)
? The average standard deviation (or annual volatility) from the last 3 years.
Since Inc. Std. Dev. (Annual)
? The average standard deviation (or annual volatility) since the fund inception.
1 Year Max Drawdown
? The maximum drawdown in the last 12 months - a drawdown is a peak-to-trough decline during a specific period for an investment, trading account, or fund.
3 Year Max Drawdown
? The maximum drawdown in the last 36 months - a drawdown is a peak-to-trough decline during a specific period for an investment, trading account, or fund.
Since Inc. Max Drawdown
? The maximum drawdown since inception - a drawdown is a peak-to-trough decline during a specific period for an investment, trading account, or fund.
AMP Capital FD Intl Bond A-3.02%-5.79%-16.11%-5.16%4%4.74%4.76%3.85%-16.11%-17.59%-17.59%

Product Overview

Peer Comparison

Product Details

Product Due Diligence

What is AMP Capital FD Intl Bond A

AMP Capital FD Intl Bond A is an Managed Funds investment product that is benchmarked against Global Aggregate Hdg Index and sits inside the Fixed Income - Bonds - Global Index. Think of a benchmark as a standard where investment performance can be measured. Typically, market indices like the ASX200 and market-segment stock indexes are used for this purpose. The AMP Capital FD Intl Bond A has Assets Under Management of 1.92 BN with a management fee of 0.98%, a performance fee of 0.00% and a buy/sell spread fee of 0.28%.

How has the investment product performed recently?

How is risk measured in this investment product?

What is the relative performance of the investment product?

Does the investment product produce Alpha over its Peers?

What are similar investment products?

What level of diversification will AMP Capital FD Intl Bond A provide?

How do I compare the investment product with its peers?

How do I compare the AMP Capital FD Intl Bond A with the Global Aggregate Hdg Index?

Can I sort and compare the AMP Capital FD Intl Bond A to do my own analysis?

Has the AMP Capital FD Intl Bond A been independently verified by SMSF Mate?

How can I invest in AMP Capital FD Intl Bond A?

How do I get in contact with the AMP Capital FD Intl Bond A?

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