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Allianz Income and Growth - Class AM Dis (H2-RMB)

CNY

7.09

Change vs Previous Trading Day (%) Dividend Frequency Fund Size Last Update (YYYY-MM-DD)
+0.11 % Monthly USD 49,337,160,767.00 2024-12-02
Risk Rating Morningstar Overall Rating Morningstar ID Investment Objective Type
4 - F00000Q2AT Focus more on long-term investment returns.

Historical Performance

1W
1M
3M
6M
1Y
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10Y
* Please input valid range.
**Fund indexed performance (initial value=100%). The returns were calculated based on the principle of NAV-to-NAV or Bid-to-Bid in the class currency of the relevant fund, with reinvestment of all dividends (if any).

Long term capital growth and income by investing in corporate Debt Securities and Equities of US and/or Canadian equity and bond markets.

Fund House Launch Date Investment Market Sector Fund Type Management Fee Performance Fee ISIN
Allianz Global Investors 2013-06-14 Allocation Other Allocation factsheet LU0820562469
NAV 52-week Low-high
7.09 CNY 6.6621-7.0907
Cumulative
As of 2024-12-02
YTD 1W 1M 3M 6M 1Y 3Y 5Y 10Y All (Annualized)
Fund Performance 8.56 0.44 2.95 3.56 6.71 13.04 0.50 7.43 7.35 7.68
Annualised 2023 2022 2021 2020 2019
Fund Performance 13.80 -19.76 14.24 23.26 19.61
Overall Rating 3-yr Rating 5-yr Rating 10-yr Rating As of
- - - - -
1-year Sharpe Ratio 1-yr Std Dev 1-yr Annualised Return 3-yr Sharpe Ratio 3-yr Std Dev 3-yr Annualised Return As of
2.01 5.61 13.04% -0.04 11.87 0.50% 2024-11-30
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Date (Descending)
NAV 
DIV 
There is no related data. For more details, please contact our customer support hotline at 2500 9199.
CHIEF wealth hotline: 2500 9188
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