Constructor Series

    AB Global Equity - Value Fund

    A global equities fund seeking long-term capital growth through value opportunities in international share markets.

       

    • 1.01% pa*

      Management
      fees and costs 

    • 7. Very High

      Risk Level

    • 5 years

      Minimum
      suggested timeframe 

    • On-Platform

      Accessible on North (via a Financial Adviser)

    Overview

    The AB Global Equity - Value Fund invests primarily in international shares selected for their long-term capital growth potential. The Fund holds a diversified portfolio of global listed companies and seeks opportunities in businessesconsidered attractively valued relative to their growth prospects.

    The investment strategy focuses on large, stable corporations operating across developed global markets. The Fund aims to outperform its benchmark over full market cycles while providing investors with exposure to global equity opportunities and long-term wealth creation.

    Detailed facts

    APIR code IPA1926AU
    Investment objective To provide investors with long term capital value and to outperform the MSCI World ex Australia Index (net dividends reinvested) (benchmark index) in Australian dollars after costs and over rolling five year periods. 
    Performance benchmark

    MSCI World (ex Australia) Net Accumulation Index

    Distribution frequency Yearly
    Product inception date 30 November 2001 
    Product status  Open

    Fund Reports

    Risks

    The Fund is designed for investors with an aggressive or very high-risk appetite who are seeking higher long-term returns and arecomfortable accepting significant market volatility.

    Investments in international equities can experience substantial fluctuations in value due to market movements, company-specific factors, economic conditions, political events and currency impacts. As a result, investment returns are not guaranteed and investors may experience periods of negative performance.

    For more detailed information about risks, please refer to the relevant Product Disclosure Statement and Incorporated Information documents

    We're here to help

    Email us ampinvestments@amp.com.au

    Call us 133 267 (see below)

    8.30am to 5.30pm (AEST)
    Monday to Friday



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    What you need to know

    This information is solely for the use of the party to whom it is provided and must not be provided to any other person or entity without the express written consent of National Mutual Funds Management Ltd (ABN 32 006 787 720, AFSL 234652) (NMFM).

    While every care has been taken in the preparation of this information, NMFM makes no representation or warranty as to the accuracy or completeness of any statement in it including, without limitation, any forecasts. Past performance is not a reliable indicator of future performance. This document has been prepared for the purpose of providing general information, without taking account of any particular investor’s objectives, financial situation or needs. An investor should, before making any investment decisions, consider the appropriateness of the information in this document, and seek professional advice, having regard to the investor’s objectives, financial situation and needs.

    ipac Asset Management Limited ABN 22 003 257 225, AFSL 234655) (IAML) is the responsible entity of the fund(s) and the issuer of the units in the fund(s) and the Product Disclosure Statement(s) (PDS). To invest in the Fund(s), investors will need to obtain and consider the current PDS or other offer document for the relevant Funds(s) available at amp.com.au/investments-pds. The PDS or offer document contains important information about investing in the Funds(s) and it is important that investors read the PDS or offer document before making a decision about whether to acquire, or continue to hold or dispose of units in the Funds(s). A target market determination has been made in respect of the Funds(s) and is available at www.amp.com.au/investments-tmd. Neither IAML, NMFM nor any other company in the AMP Group guarantees the repayment of capital or the performance of any product or any particular rate of return referred to in this document. Past performance is not a reliable indicator of future performance.

    All information on this website is subject to change without notice.

    The information included on this page was current on the date published within the document or report and issued by the entity identified in the document or report . For up-to-date information, we refer you to the relevant product disclosure statement, target market determination and product updates available at amp.com.au.