Allianz American Income - AM - H2-RMB/  LU2257996368  /

Fonds
NAV2024-05-17 Chg.-0.0082 Type of yield Investment Focus Investment company
7.5727CNY -0.11% paying dividend Bonds Bonds: Mixed Allianz Gl.Investors 
  • Dividends adjusted Dividends adjusted

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2022 - - -1.49 -2.71 0.49 -3.86 3.49 -2.14 -4.27 1.15 1.14 -0.16 -
2023 2.04 -2.06 1.48 0.57 -0.92 -0.36 0.56 -0.81 -1.83 -0.93 3.99 2.42 +4.04%
2024 -0.38 -1.05 0.70 -1.18 1.32 - - - - - - - -
Single months: Dividends not considered

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 3.43% 3.70% 4.30% -% -%
Sharpe ratio -1.59 0.72 -0.47 - -
Best month +2.42% +3.99% +3.99% +3.99% -
Worst month -1.18% -1.18% -1.83% -4.27% -
Maximum loss -2.59% -2.69% -4.70% - -
Outperformance - - - - -
 
All quotes in CNY

Tranches

Name   Type of yield Repurchase p. 1 Year 3 Years
AGIF-Allianz American Income W9 ... paying dividend 91,448.8281 +5.65% -1.74%
AGIF-Allianz American Income AM ... paying dividend 8.2975 +4.76% -4.20%
Allianz American Income - AMg - ... paying dividend 7.7810 +4.76% -
Allianz American Income - AMg - ... paying dividend 7.6458 +3.29% -
Allianz American Income - AT - U... reinvestment 10.2984 +4.76% -
Allianz American Income - IT - U... reinvestment 1,058.9000 +5.42% -
Allianz American Income - BMg - ... paying dividend 7.3681 +4.13% -
Allianz American Income - BT - U... reinvestment 9.5202 +4.13% -
Allianz American Income - CT - U... reinvestment 9.3954 +4.34% -
Allianz American Income - AM - H... paying dividend 7.8886 +4.27% -
Allianz American Income - AM - H... paying dividend 7.7298 +3.23% -
Allianz American Income - AM - H... paying dividend 7.5727 +1.78% -
Allianz American Income - AMf - ... paying dividend 7.3986 +4.76% -
Allianz American Income - BMf - ... paying dividend 7.2617 +4.14% -
Allianz American Income - RT - U... reinvestment 9.6597 +5.34% -
Allianz American Income - AM - H... paying dividend 983.6500 -1.21% -

Performance

YTD
  -0.61%
6 Months  
+3.16%
1 Year  
+1.78%
3 Years     -
5 Years     -
10 Years     -
Since start
  -5.45%
Year
2023  
+4.04%
 

Dividends

2024-05-15 0.02 CNY
2024-04-15 0.02 CNY
2024-03-15 0.02 CNY
2024-02-15 0.02 CNY
2024-01-16 0.02 CNY
2023-12-15 0.02 CNY
2023-11-15 0.02 CNY
2023-10-16 0.02 CNY
2023-09-15 0.02 CNY
2023-08-16 0.02 CNY
2023-07-17 0.02 CNY
2023-06-15 0.02 CNY
2023-05-15 0.02 CNY
2023-04-17 0.02 CNY
2023-03-15 0.04 CNY
2023-02-15 0.04 CNY
2023-01-17 0.04 CNY
2022-12-15 0.04 CNY
2022-11-15 0.04 CNY
2022-10-17 0.04 CNY
2022-09-15 0.05 CNY
2022-08-16 0.05 CNY
2022-07-15 0.06 CNY
2022-06-15 0.06 CNY
2022-05-16 0.06 CNY
2022-04-19 0.06 CNY
2022-03-15 0.07 CNY
2022-02-15 0.07 CNY