AMP Capital’s Multi Asset Group specialises in providing tailored investment solutions to suit the unique needs of our institutional investors. AMP Capital has a long history providing portfolio solutions, including the construction and management of multi-asset and multi-manager portfolios and capital protection strategies.
Investment solutions can be
customised investment mandates
or within pooled funds, allowing our clients great flexibility in portfolio management.
The Group manages over $55 billion* for its clients through multi-manager and multi-asset funds and strategies, offering investors a globally diversified range of investment opportunities. These are enhanced by specialist capabilities in asset allocation, derivative management, investment risk management and implementation. In addition to this expertise within the Multi Asset Group, clients may also benefit from the Group’s direct access to AMP Capital’s specialist capabilities in real estate, infrastructure and fixed income.
Multi-asset solutions can be an important component of an investment portfolio as they can provide significant diversification benefits via exposure to multiple asset classes and sectors, as well as specialist investment strategies. As markets have entered a period of heightened volatility, we believe the perennial importance of diversification is greater still, as is the need for flexibility in asset allocation to maintain a robust portfolio. This can be delivered by a dynamic investment portfolio that is responsive in its strategy and balanced in its construction.
*as at December 2010