For details about the specific fees and costs associated with your investment option(s) use the dropdown menus below to select your product and click ‘View’. Upon selecting your product, if you are not taken directly to a document, simply select ‘Fees & costs’ and refer to the relevant document. You may choose to perform a keyword search within the document.
On 30 September each year, or at other times should new information become available, we update our estimates of management fees, investment fees (as applicable) and indirect costs for each investment option that applies to your super, retirement or investment products based on the actual underlying costs for the last financial year to 30 June.
Depending on the investment option(s) you hold, these estimates may have changed. We also regularly review the transaction cost allowance or buy and sell margins (as applicable) for each investment option based on the expected transaction costs. Depending on the investment option(s) you hold, these may also have changed. To keep you up to date with changes, you can see the current investment option fees and costs by selecting your product above.
For more information, speak to your financial adviser or call the customer contact centre listed in the 'Your contacts' section of your statement or on the back cover of your Product Disclosure Statement (PDS).
It’s important to consider your particular circumstances and read the relevant Product Disclosure Statement or Terms and Conditions before deciding what’s right for you. This information hasn’t taken your circumstances into account.
Read our Financial Services Guide for information about our services, including the fees and other benefits that AMP companies and their representatives may receive in relation to products and services provided to you.
All information on this website is subject to change without notice.