Request a call
I agree to the terms and conditions, privacy policy, and subscription to the Goals-based investing newsletter.


AMP's Australian operations are bound by the current Australian privacy legislation which outlines how organisations should manage and use personal information collected and held about their customers. AMP Privacy Policy

Future Cash Flow Range

The Future Cash Flow Range, comprised of three managed Funds, provides clients with known monthly cash flows, adjusted for inflation annually. The Funds can be used standalone or in conjunction with one another or with other funds to deliver a desired cash flow profile – depending on your clients’ needs.

Future Cash Flow 6 Fund, Series 1

Future Cash Flow 9 Fund, Series 1

Future Cash Flow 12 Fund, Series 1

* Until all income and capital is returned to investors


Fund Profile
Fund Infographic
 

Cash flow

MONTHLY
 

*until all income and capital is returned to investors

 

Focus

RISK
 

risk management is critical and strategies such as hedging are employed

 

Asset allocation

DAA
 

or dynamic asset allocation. The mix of asset class investments can be adjusted in response to expected market changes

 

Liquidity

DAILY
 

above inflation with the aim of ensuring your client’s money grows with the cost of living

 

"Assets will be managed in a way that targets a certain range of time for the cash flows to last, allowing investors to better plan their retirement. This provides a sense of comfort that their assets are being managed for a goal."

Darren Beesley
Senior Portfolio Manager

How does this fund fit into your portfolio?

These Funds can be used:

  • Standalone or
  • In conjuction with one another or
  • With other funds to deliver a desired cash flow profile.

What are the risks?

Risks specific to the Future Cash Flow Range may include or be associated with:

  • The indicative range and estimate of the life of the Fund are not guaranteed – if investment markets move in an adverse manner that has not been reflected in our modelling and assumptions, this may result in an unanticipated decline in the value of the Fund. A reduction in the value of the Fund may result in a shortening of the life of the Fund.
  • Investment approach does not guarantee delivery of the objective of the Fund – the future performance of investment markets is unpredictable and can change unexpectedly. The investment approach is not a methodology that can guarantee the delivery of the objective of the Fund, but rather it provides an investment framework for the management of the Fund.
  • Risk management strategies do not guarantee delivery of the objective of the Fund – the Fund utilises asset allocation risk management strategies through diversification and the allocation to more defensive assets in certain market environments. However, there is no guarantee that these risk management strategies will preserve the capital value of the Fund in the manner anticipated.
  • Asset allocation – the Fund’s asset allocation strategy does not guarantee positive investment performance at all stages of the investment cycle.
  • Liquidity – assets subject to liquidity risk may be difficult to trade and it may take longer for their full value to be realised, and in circumstances where the Fund’s portfolio ceases to be ‘liquid’ for Corporations Act purposes, there may be significant delays or a freeze on withdrawal requests.
  • Share market investments – the value of the Fund’s investment in listed securities may decrease as a result of adverse share market movements

Invest now

Select how you would like to invest
Available platform: MyNorth

Contact MyNorth for details on how to invest.
Subscribe for updates

AMP's Australian operations are bound by the current Australian privacy legislation which outlines how organisations should manage and use personal information collected and held about their customers. AMP Privacy Policy

Submit

AMP Capital Funds Management Limited (ABN 15 159 557 721, AFSL 426455) (AMPCFM) is the responsible entity of the AMP Capital Future Cash Flow 6 Fund, Series 1, AMP Capital Future Cash Flow 9 Fund, Series 1 and the AMP Capital Future Cash Flow 12 Fund, Series 1 (‘Funds’) and the issuer of the units in the Funds. To invest in this Funds, investors will need to obtain the current Product Disclosure Statements (PDS) available from AMP Capital Investors Limited (ABN 59 001 777 591, AFSL 232 497) (AMP Capital). The PDS contains important information about investing in the Funds and it is important that investors read the PDS before making a decision about whether to acquire, or continue to hold or dispose of units in the Funds. None of AMP Capital, AMPCFM, 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. While every care has been taken in the preparation of this document, AMP Capital makes no representation or warranty as to the accuracy or completeness of any statement in it including without limitation, any forecasts.

Subscribe for updates
Thank you for subscribing to goals-based news and insights.


AMP's Australian operations are bound by the current Australian privacy legislation which outlines how organisations should manage and use personal information collected and held about their customers. AMP Privacy Policy

Subscribe to goals-based news and insights