Allianz Global Investors Fund - Allianz Dynamic Multi Asset Strategy SRI 50 A EUR

- -Patrimonio en manos de inversores locales
ISIN: LU1019989323
Categoría Morningstar: EUR Moderate Allocation - Global
Empresa: Allianz Global Investors (AllianzGI)
ISIN: LU1019989323
Categoría Morningstar: EUR Moderate Allocation - Global
Empresa: Allianz Global Investors (AllianzGI)
Long term capital growth by investing in a broad range of asset classes, with a focus on global Equity, Bond and Money Markets in order to achieve over the medium-term a performance comparable to a balanced portfolio within a volatility range of 6% to 12% in accordance with the Sustainable and Responsible Investment Strategy (SRI Strategy). The assessment of the volatility of the capital markets by the Investment Manager is an important factor in this process, with the aim of typically not falling below or exceeding a volatility of the Share price within a range of 6% to 12% on a medium to long-term average, similar to a portfolio consisting of 50% global equity markets and 50% European bond markets.
Rentabilidad anual | 1 año | 3 años | 5 años | Inicio | 2023 | 2022 | 2021 | 2020 | 2019 |
---|---|---|---|---|---|---|---|---|---|
Rentabilidad anual: Fondo | 1 año: 2,47 | 3 años: 4,82 | 5 años: 2,83 | Inicio: 4,30 | 2023: 7,08 | 2022: -15,36 | 2021: 20,08 | 2020: 1,72 | 2019: 15,03 |
Rentabilidad anual: Categoría | 1 año: 2,60 | 3 años: 1,20 | 5 años: 1,49 | Inicio: - | 2023: 4,22 | 2022: -12,94 | 2021: 9,41 | 2020: 2,37 | 2019: 12,53 |
Rentabilidad anual: Percentil | 1 año: 67,00 | 3 años: 9,00 | 5 años: 21,00 | Inicio:- | 2023: 15,00 | 2022: 78,00 | 2021: 3,00 | 2020: 58,00 | 2019: 26,00 |
Riesgo | Volatilidad | Ratio Sharpe | Correlación | Beta | Alfa | Tracking error | Info Ratio |
---|---|---|---|---|---|---|---|
Riesgo: 3 años | 1 Volatilidad: 8,68 | 3 Ratio Sharpe: 0,50 | 5 Correlación: 88,90 | Beta: 0,90 | Alfa: 1,47 | Tracking error: 4,08 | Info Ratio: 0,29 |