Allianz US High Yield -Class AM (USD) Dis.
Last NAV USD
5.72
(Last Update : 2025/06/05) | 1-Month return +0.96% | Fund House Allianz Global Investors Hong Kong Limited |
Fund Type Fixed Income Funds | ||
Fund Size 496.93M | Sector High Yield | |
Geographic Allocation US |
Last NAV | 1 Month Return | 3 Month Return |
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Keywords | |
Fund Type | |
Sector | |
Fund House | |
Search |
Fund Name | 1M Return | 3M Return |
---|---|---|
+17.52% | +38.69% | |
+16.22% | +12.45% | |
+15.68% | +19.16% | |
+13.85% | +15.63% | |
+13.51% | +3.73% | |
+11.62% | +9.37% | |
+11.22% | +4.06% | |
+11.20% | -0.02% | |
+11.03% | +3.52% | |
+10.97% | +3.69% |
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