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Allianz US High Yield -Class AM (USD) Dis.
Last NAV
USD
 
5.78
(Last Update : 2024/11/13)
1-Month return
 
+0.56%
Fund House Allianz Global Investors Hong Kong Limited
Fund Type Fixed Income Funds
Fund Size
 
539.04M
Sector High Yield
Geographic Allocation US
Cumulative Performance
Period
Range
Return
Fund Avg
1-Week
5.76 - 5.79
+0.32%
+0.14%
1-Month
5.75 - 5.79
+0.56%
-0.50%
3-Month
5.73 - 5.83
+0.48%
-0.04%
1-Year
5.52 - 5.83
+4.73%
+6.18%
3-Year
5.34 - 6.64
-12.94%
-6.99%
Since Launch
5.34 - 10.74
-42.19%
+85.82%
Volatility
3 year annualised standard deviation
6.55%
1M | 3M | 6M | Adv. Chart 
 
 | 
 
Color - 
Calendar Year Performance
Returns (%)
2023
2022
2021
2020
2019
USD
+11.80%
-11.42%
+3.75%
+0.51%
+13.14%
Portfolio Composition
By Sector
 DIV. FIN. SERVICES (13.60%)
 ENERGY (10.90%)
 TECHNOLOGY (8.40%)
 GAMING (6.50%)
 OTHERS (5.60%)
 HEALTHCARE (5.50%)
 AUTOMOTIVE (5.50%)
 SERVICES (5.40%)
 LEISURE (4.40%)
 AEROSPACE (3.60%)
 BROADCASTING (2.90%)
 TEL. - WIR. INT. & SERV. (2.90%)
 CABLE & SATEL. TV (2.90%)
 BUILDING MATERIALS (2.60%)
 HOMEB. & REAL EST. (2.50%)
 SUPER RETAIL (2.20%)
 CAPITAL GOODS (1.90%)
 CONTAINERS (1.80%)
 INSURANCE (1.80%)
 METALS & MINING (1.60%)
By Credit rating
 BB (47.80%)
 B (43.30%)
 CCC (3.00%)
 NOT RATED (2.80%)
 LIQUIDITY (2.60%)
 BBB (0.50%)
Top Holdings
Asset
Attribute
Proportion
 
CAESARS ENTERTAIN INC 8.125% 07/01/27
GAMING
2.70%
TENET HEALTHCARE CORP 6.125% 10/01/28
HEALTHCARE
2.00%
NATIONSTAR MTG HLD INC 7.125% 02/01/32
DIV. FIN. SERVICES
2.00%
IRON MOUNTAIN INC 7% 02/15/29
HOMEB. & REAL EST.
1.90%
FRONTIER COMMUNICATIONS 8.75% 05/15/30
TEL. - WIR. INT. & SERV
1.90%
SEAGATE HDD CAYMAN 8.5% 07/15/31
TECHNOLOGY
1.80%
PANTHER ESCROW ISSUER 7.125% 06/01/31
INSURANCE
1.80%
CLARIOS GLOBAL LP/US FIN 8.5% 05/15/27
AUTOMOTIVE
1.80%
OMBARDIER INC 7.5% 02/01/29
AEROSPACE
1.70%
GEN DIGITAL INC 7.125% 09/30/30
TECHNOLOGY
1.60%
Similar Funds (By Fund Type)
Top 5 Advancers
(sorted by 1-Month Return)
Fund Name
Last NAV
1M Return
3M Return
BlackRock Fixed Income Global Opportunities Fund (EUR) A2 15.33
+2.61%
+4.57%
BlackRock Fixed Income Global Opportunities Fund (EUR) C2 12.29
+2.50%
+4.24%
BlackRock Fixed Income Global Opportunities Fund (EUR) A1 9.51
+2.48%
+3.71%
BlackRock Fixed Income Global Opportunities Fund (EUR) A3 9.51
+2.37%
+3.71%
BlackRock Fixed Income Global Opportunities Fund (EUR) C1 9.50
+2.37%
+3.60%
Top 5 Decliners
(sorted by 1-Month Return)
Fund Name
Last NAV
1M Return
3M Return
BlackRock Emerging Markets Local Currency Bond Fund (USD) A2 23.70
-4.47%
-3.93%
Barings Global Bond Fund (USD) S-Inc 20.32
-3.92%
-5.00%
Templeton Emerging Markets Bond Fund (USD) A (Qdis) 6.76
-3.01%
-3.57%
JPM Global Convertibles (USD) 13.70
-2.63%
-3.93%
Amundi Funds Bond Global - A2 (USD) 25.47
-2.56%
-3.49%
Fund - Browser History
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