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Allianz US High Yield -Class AM (USD) Dis.
Last NAV
USD
 
5.72
(Last Update : 2024/12/24)
1-Month return
 
-0.70%
Fund House Allianz Global Investors Hong Kong Limited
Fund Type Fixed Income Funds
Fund Size
 
496.93M
Sector High Yield
Geographic Allocation US
Facts
Country Registration
Luxembourg
Portfolio Manager
Justin Kass & Michael Yee & David Oberto
Fund House
Allianz Global Investors Hong Kong Limited
Minimum Holding Amount
USD 3,000.00
Minimum Initial Investment
USD 5000
Minimum Redemption Amount
USD 1,000.00
Financial Year End
30/09
Launch Date
2010/08/02
Launch NAV
USD 10.00
Fees
Initial Sales Fee
Up to 5% of the NAV
Conversion Fee
Up to 5% of the NAV (for switch-in)
Maintenance Fee
Custodian Fee:Covered by Administration Fee.Covered by Administration Fee:Up to 0.5% p.a.The Sub-Fund pays a flat-rate administration fee on a monthly basis to the management company.
Management Fee
1.20%
Redemption Fee
No Redemption Fee is currently levied
Fund Documents & Links
Last Term Sheet
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Latest Portfolio Report
N/A
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