Allianz GIF Allianz Dynamic Asian High Yield Bond Amg USD
Bond
Recent Price
Fund description
The investment objective is to provide investors with long-term capital appreciation and income. The Sub-Fund will seek to achieve its investment objective through investing primarily in USD denominated Asian debt markets. The investment policy is geared towards generating annualised returns while taking into account the opportunities and risks in Asian debt markets. The Investment Manager has discretion to actively manage the duration of the Sub-Fund’s underlying interestbearing securities in order to react in a dynamic way to the opportunities of a changing interest rate environment.
Fund Performance
Prices shown are indicative and are usually based on prices of 2-4 dealing days earlier, and may not be exactly the price used for individual trades. Prices and returns on this page may be based on a reference price in a different currency to that of the fund dealing price. Returns experienced by individual clients may differ from those shown below. Clients should not rely on these prices for decision making. Fund prices provided by third-parties. dollarDEX does not guarantee any prices or valuations shown, and accepts no responsibility for their accuracy.
Return
1 week
0.47
1 month
0.01
6 months
5.24
1 year
15.61
3 years
-14.25
Since start *
-28.19
Annualized Return %
1 week
1 month
6 months
1 year
15.61
3 years
-4.99
since start *
-4.23
Annual Volatility %
1 week
1 month
6 months
1 year
3.76
3 years
16.80
since start *
13.40
Sharpe ratio +
1 week
1 month
6 months
1 year
4.02
3 years
-0.33
since start *
-0.35
*Since start means from start of data available to dollarDEX and may not coincide with inception of fund.
Performance chart
Fund details
Price frequency | Daily |
Pricing basis | Forward |
Dealing basis (subscriptions) What is this? | T+0 |
Dealing basis (redemptions) What is this? | T+0 |
Sector | All |
Asset class | Bond |
Asset sub-class | High Yield |
Region | Asia Peer funds |
Dividend distribution option | Re-investment, Cash payout |
Launch price | USD 10.0000 |
Price currency [1] | USD |
Payment currency | SGD,USD |
Investment type | Cash, SRS |
Risk (volatility) What is this? | Medium High |
Fund annual management & service fee
[2] (built into daily pricing, check prospectus for details) |
1.500% |
Latest bid/NAV price | USD 4.2652 (3-Dec-2024) |
Bid price changes from last available price | +0.10% |
Benchmark | J.P. MORGAN JACI Non-Investment Grade Custom Index |
Minimum initial investment | SGD 1,000 USD 1,000 |
Minimum subsequent investment | SGD 500 USD 500 |
Minimum RSP investment | SGD 100 USD 100 |
1 Usually same as fund dealing currency (refer to prospectus). Some funds have a SGD reference price used by Navigator.
2 Total of fixed annual management and service fees. Check fund prospectus for details including variable performance fees, if any, which may not be included here.