Bond funds

We offer a range of products from active core to enhanced yield and credit strategies (using both Australian and international bond markets). In addition to the pooled investment funds listed below, we also offer customised solutions across all areas of the fixed interest spectrum, ranging from sovereign and inflation linked bonds to active credit strategies, depending on individual client risk return requirements.

Currently available

Fund name

Type of fund

Risk rating

Timeframe

Australian bonds      
Structured High Yield invests in high yielding subordinated debt and senior debt assets, and hybrid securities worldwide Medium 3-5 years
Australian Corporate Bond Fund invests in corporate bonds Medium 5 years
Core Plus Strategies Fund invests in Australian fixed interest securities with up to 30% allocation to global credit Low-Medium 2-3 years
Floating Rate Income Fund
invests in interest rate derivatives and the Australian Corporate Bond Fund Low-Medium 3 years
 
International bonds
International Bond Fund invests in sovereign, corporate, asset-backed and hybrid securities in both developed and emerging markets Low-Medium 2-3 years

 

Available to existing investors only

Fund name

Type of fund

Risk rating

Timeframe

Australian bonds      
Australian Bond Fund invests in a diverse range of fixed interest securities Low-Medium 2-3 years
Enhanced Yield Fund invests in high yield debt, corporate debt, hybrid and cash-like securities Low-Medium 3-5 years
Capital Guaranteed Fixed Interest Option invests in fixed interest and cash securities Low none
 
International bonds
International Bond (superannuation) invests in a diverse range of foreign fixed interest securities Low-Medium 2-3 years
 

 

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