warning
05 May 2021 – Please be aware of scammers falsely representing AMP Capital. AMP Capital is aware of an ongoing scam operation targeting customers and the broader community, offering inflated interest returns available through fictitious investment vehicles titled the Capital Protected Fixed Income Government Fund and the Woolworths Group Fixed Rate Bonds. Through the use of phishing emails, malicious operators are sending falsified e-brochures to people in an effort to entice them to invest in a false product that features AMP Capital’s branding. Please be aware this is a not a legitimate product from AMP Capital.

AMP Capital does not approach potential customers via electronic direct mail (EDM) nor does the company solicit personal or financial information via email. 
If you are concerned that you may have been targeted by scammers, please contact us on 1800 658 404 from 8.30am to 5.30pm Monday to Friday (Sydney time).
More information on scams can also be found on the ACCC’s website Scamwatch.

Our Multi-manager capabilities

AMP Capital constantly researches, assesses, and implements new public and private market opportunities to help improve the risk and return outcomes of customers’ portfolios.

We provide our customers with diversification across asset classes, manager types and manager styles, with the aim of achieving growth with smoother returns by negotiating the ups and downs of the market.

Why invest with AMP Capital?

  • Pioneering
    Pioneering

    AMP Capital is a pioneer in developing contemporary investment solutions. We’ve been helping our customers like this since 1975 and continue to find new ways to help them reach their goals.

  • People
    People

    Our people and their depth of experience set us apart. We draw on the expertise of a broader team of 36 investment professionals in manager selection, asset allocation, portfolio construction and risk management. 

  • Risk management
    Risk management

    Our strong focus on risk management helps us to build stronger portfolios, generate smoother returns and target lower volatility for our clients.

The team

add Lydia Serafim Senior Portfolio Manager - Multi Asset Group Sydney, Australia
add Duy To Portfolio Manager Sydney, Australia
add Trent Loi MFin, BCom, BIS, CIMA Portfolio Manager, Market Solutions Sydney, Australia
add Rebecca Liu Portfolio Manager Sydney, Australia

Risks

Risks specific to the multi-manager investments may include or be associated with investment management and style, selection of investment managers, share market investments, international investments, alternative assets, interest rates, credit, property investments, derivatives and liquidity. Risks specific to certain asset classes are also briefly outlined on the product page for the relevant fund. Please also refer to the relevant fund’s Information Memorandum or Product Disclosure Statement for more information.

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