Germany Funds performance table

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fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
Allianz Dynamic Risk Parity W2 EUR Inc -2% -5% 0% 0% -1% 99M 2015-06-30
Allianz EM Bd Extra 2018 I EUR 0% 2% -2% 3% 0% 571M 2015-06-30
Allianz EM Bd Extra 2018 IT EUR 0% 2% -2% 3% 0% 571M 2015-06-30
Allianz EM Bd Extra 2020 I EUR Inc 0% 1% 0% 0% 3% 78M 2015-06-30
Allianz EM Eq Opportunities WT2 EUR Acc -5% -5% 0% 10% 14% 13M 2015-06-30
Allianz EM Local Currency Bd I USD -2% -1% 0% -7% -4% 20M 2015-06-30
Allianz EM Shrt Dur Defensv Bd I(H2-EUR) -1% 0% -4% 1% -1% 47M 2015-06-30
Allianz EM Shrt Dur Defensv Bd W2 H2-EUR -1% 0% -4% 1% -1% 47M 2015-06-30
Allianz Emerging Asia Equity IT USD -3% 1% 9% 8% 17% 165M 2015-06-30
Allianz Emerging Asia Equity WT USD -3% 1% 0% 0% 6% 165M 2015-06-30
Allianz Emerging Europe I EUR -6% -2% -11% 8% 0% 139M 2015-06-30
Allianz Emerging Europe PT EUR -1% -1% 9% 0% 13% 246M 2013-04-30
Allianz Emerging Mkts Flex Bd I H2-EUR -2% 0% 0% 1% -1% 5M 2015-06-30
Allianz Emerging Mkts Flex Bd I USD -2% 0% 0% 1% -1% 5M 2015-06-30
Allianz Enh Short Term Euro I EUR 0% 0% 0% 0% 1% 1573M 2015-06-30
Allianz Enh Short Term Euro IT EUR 0% 0% 0% 0% 1% 1573M 2015-06-30
Allianz Enh Short Term Euro W EUR 0% 0% 0% 0% 0% 1573M 2015-06-30
Allianz Euréco Equity I A/I -4% -1% 6% 13% -1% - 2015-06-30
Allianz Euribor 0% 0% 0% 0% 2% 1464M 2015-06-30
Allianz Euro Bond Fund I EUR -2% -5% 2% -1% 5% 599M 2015-06-30
Allianz Euro Bond Fund P EUR 0% 4% 11% 4% 5% 666M 2015-03-31
Allianz Euro Bond I EUR -2% -5% 2% -2% 4% 274M 2015-06-30
Allianz Euro Bond IT EUR -2% -5% 0% -2% 0% 274M 2015-06-30
Allianz Euro Bond Strategy IT EUR -2% -5% 3% -1% 4% 259M 2015-06-30
Allianz Euro Credit SRI - I - EUR -2% -3% 2% -1% 6% 60M 2015-06-30
Allianz Euro Credit SRI - W - EUR -2% -3% 2% -1% 6% 60M 2015-06-30
Allianz Euro Crédit SRI I A/I -2% -3% 2% -1% 5% - 2015-06-30
Allianz Euro Emprunts d'Etat I -1% -3% 2% -1% 5% 30M 2015-06-30
Allianz Euro High Yield Bond WQ CZK -2% -2% 0% 0% -2% 4295M 2015-06-30
Allianz Euro High Yield Bond WT EUR Acc -1% -1% 2% 1% 6% 456M 2015-06-30

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