Fund explorer and prices

Result: 191 Funds/ 1268 Share Classes
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Result: 191 Funds/ 1268 Share Classes
Fund
Share Class
Share Class Currency
Redemption price
Factsheet
Fund details

Allianz ActiveInvest Balanced

Multi Asset | as of 14/03/2025 | LU2208987508
CT (EUR)EUR111.0500

Allianz ActiveInvest Defensive

Multi Asset | as of 14/03/2025 | LU2208987763
CT (EUR)EUR103.9100

Allianz ActiveInvest Dynamic

Multi Asset | as of 14/03/2025 | LU2208987680
CT (EUR)EUR123.1700

Allianz Advanced Fixed Income Euro

Fixed Income | as of 14/03/2025 | LU0706717351
A (EUR)EUR90.7300

Allianz Advanced Fixed Income Global

Fixed Income | as of 14/03/2025 | LU1209235446
A (EUR)EUR97.1700

Allianz Advanced Fixed Income Global Aggregate

Fixed Income | as of 14/03/2025 | LU1260871014
A (EUR)EUR90.7400

Allianz Advanced Fixed Income Short Duration

Fixed Income | as of 14/03/2025 | LU0856992614
A (EUR)EUR89.8300

Allianz All China Equity

Equity | as of 14/03/2025 | LU1946895353
A (EUR)EUR127.5000

Allianz American Income

Fixed Income | as of 14/03/2025 | LU2257996368
AM (CNY H2-CNH)CNY7.5138

Allianz Asia Pacific Income

Multi Asset | as of 14/03/2025 | LU0348744680
A (EUR)EUR345.4800

Multi Asset | LU2208987508

Allianz ActiveInvest Balanced

EUR | NAV 111.0500as of 14/03/2025

Details

Multi Asset | LU2208987763

Allianz ActiveInvest Defensive

EUR | NAV 103.9100as of 14/03/2025

Details

Multi Asset | LU2208987680

Allianz ActiveInvest Dynamic

EUR | NAV 123.1700as of 14/03/2025

Details

Fixed Income | LU0706717351

Allianz Advanced Fixed Income Euro

EUR | NAV 90.7300as of 14/03/2025

Fixed Income | LU1209235446

Allianz Advanced Fixed Income Global

EUR | NAV 97.1700as of 14/03/2025

Details

Fixed Income | LU1260871014

Allianz Advanced Fixed Income Global Aggregate

EUR | NAV 90.7400as of 14/03/2025

Details

Fixed Income | LU0856992614

Allianz Advanced Fixed Income Short Duration

EUR | NAV 89.8300as of 14/03/2025

Equity | LU1946895353

Allianz All China Equity

EUR | NAV 127.5000as of 14/03/2025

Fixed Income | LU2257996368

Allianz American Income

CNY | NAV 7.5138as of 14/03/2025

Multi Asset | LU0348744680

Allianz Asia Pacific Income

EUR | NAV 345.4800as of 14/03/2025

Allianz Global Investors

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