AMP Capital Responsible Investment Leaders Growth Fund

Product Name

AMP Capital Responsible Investment Leaders Growth Fund


AMP Capital


Investment product




Retail, Wholesale

Certified Since


Certification Symbol

Responsible Investment

Asset Classes

Diversified / Balanced



Investment Approaches

Negative Screening, ESG Integration, Engagement

It Includes

  • Riaa icons 11 More sustainable companies
  • Investment2 Social impact investments
  • Riaa icons 10 Renewable energy
  • Riaa icons 32 Green property
  • Riaa icons 14 Education
  • Riaa icons 15 Social & community infrastructure
  • Riaa icons 31 Sustainable water

It Excludes

  • Riaa icons 33 Fossil fuels
  • Riaa icons 34 Logging
  • Riaa icons 35 Tobacco
  • Riaa icons 50 Nuclear energy (including uranium)
  • Riaa icons 52 Human rights violations
  • Riaa icons 38 Labour rights violations
  • Riaa icons 56 Animal cruelty
  • Riaa icons 36 Armaments
  • Riaa icons 41 Alcohol
  • Riaa icons 42 Gambling
  • Riaa icons 55 Pornography
  • Riaa icons 45 Genetic engineering


The Responsible Investment Leaders (RIL) Growth Fund is a diversified strategy that blends asset classes and investment managers, with the objective of providing investors with competitive returns over a range of markets. We combine a stringent investment approach with a responsible investment philosophy, outlined in the fund’s Ethics Charter. An Ethics Committee fulfils an environmental, social and governance (ESG) oversight role for the fund.


The fund’s objective is to provide competitive investment returns aligned with client values which engages with companies for a better future.

 The RIL Ethics Charter requires the underlying managers to the fund to:

  • not invest in companies with a material exposure (10% of revenue) to gambling; alcohol; tobacco; pornography; uranium (and nuclear power) and armaments;
  • not invest in companies with a material exposure (20% of company value) to thermal coal mining; brown coal power generation; oil sands production; transport infrastructure associated with oil sands; and coal to oil or gas processes;
  • invest in the better performing companies in other sectors.

The RIL Ethics Committee regularly reviews portfolio holdings and as a result of the review may require the underlying manager to justify the ESG rationale for holding a particular company.  If the Ethics Committee is not satisfied with the response it may either a) request the underlying manager to engage with the company on the particular ESG issue(s) of concern b) require divestment of the company.  If it is concluded that the company is to be divested, the rationale for the divestment is reviewed every two years, to see if divestment is still appropriate.

Engaging with companies and policy makers on important ESG issues is a key feature of the fund.  We have four key engagement themes:

  • Climate change
  • Human rights and supply chain
  • ESG disclosure by companies
  • Corporate governance
In addition, the fund engages with individual companies on company specific issues.

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