Investment returns
View the short and long term investment returns for your AMP Investment Trust
Unit prices effective as at 01/03/2021
AMP Investment Trust
FUND | UNIT PRICE ($) |
---|---|
Multi sector | |
Aggressive Portfolio | 2.415578 |
Balanced Portfolio | 2.303938 |
Growth Portfolio | 2.283239 |
Moderate Portfolio | 2.104981 |
Select Balanced | 2.095477 |
Select Conservative | 1.931745 |
Select Growth | 2.141103 |
eInvest Aggressive Fund | 1.745658 |
eInvest Balanced Fund | 1.542868 |
eInvest Conservative Fund | 1.337166 |
eInvest Growth Fund | 1.677343 |
eInvest Moderate Fund | 1.424183 |
Single sector | |
AMPCI Global Fixed Interest | 1.994758 |
AMPCI Global Shares | 1.789443 |
AMPCI Global Shares Index | 2.580565 |
AMPCI Global Shares Index Hedged | 3.15884 |
AMPCI NZ Shares | 3.993289 |
AMPCI NZ Shares Index | 3.04417 |
Australasian Shares - Multi Manager | 3.953436 |
Emerging Markets | 1.721809 |
Fixed Interest Income | 1.273463 |
Global Bonds - Multi Manager | 2.127872 |
Global Equities - Multi Manager | 1.549481 |
Global Infrastructure | 2.916859 |
Global Property | 3.87941 |
NZ Bond | 1.308974 |
NZ Cash | 1.151749 |
NZ Fixed Interest | 1.922766 |
Select Cash | 1.375896 |
Select Income | 1.754087 |
Quarterly fund updates
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Historic funds
The value of your investment will go up or down depending on the unit prices of the investment options in which you are invested. Changes in the unit prices reflect changes in the market values of the assets of the investment options, which are generally valued daily.
The unit prices listed are the prices at which members would sell units, on the date specified. Under normal circumstances they are updated every business day.
Underlying assets of some of the investment funds comprised in the AMP Invetment Trust (AIT) will rise and fall in value and returns will (with exceptions) from time to time be negative. Depending on the particular investment fund and the length of time for which an investor has invested, it is possible that an investor may receive less than the initial investment on withdrawal.
Unit prices displayed are after management fees but before PIE tax. This method is based on the PIE (Portfolio Investment Entity) tax regime where by individual investors will have tax paid on their behalf at their Prescribed Investor rate (PIR).
Every effort has been made to ensure the accuracy of this information, however no entity or person guarantees the AIT, any investment in the AIT or any returns on any investment in the AIT or gives any warranty of reliability, or accuracy, nor accepts any responsibility arising in any other way from any errors or omissions.
AMP Wealth Management New Zealand Limited is the issuer and manager of the AMP KiwiSaver Scheme (the 'Scheme'). The Supervisor of the Scheme is The New Zealand Guardian Trust Company Limited (NZGT). AMP Wealth Management New Zealand Limited is the Trustee of the New Zealand Retirement Trust (NZRT). AMP Wealth Management New Zealand Limited is the manager of the AMP Investment Trust (AIT). The Supervisor of AIT is The New Zealand Guardian Trust Company Limited.
Download a copy of the AIT Product Disclosure Statement for more information.
Updated investor information required in respect of the AIT can be accessed on the Forms, documents and downloads page.
A disclosure statement is available from your Adviser, on request and free of charge.