Allianz Income and Growth
LU0943347566
Fund for high-yield and convertible bonds and equities from the U.S. (with supplemental option strategy)
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A (H2-EUR)
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A (USD)
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AM (CNY H2-CNH)
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AM (H2-AUD)
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AM (H2-CAD)
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AM (H2-CHF)
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AM (H2-EUR)
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AM (H2-GBP)
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AM (H2-JPY)
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AM (H2-NZD)
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AM (H2-SGD)
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AM (H2-ZAR)
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AM (HKD)
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AM (JPY)
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AM (USD)
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AM5 (USD)
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AMg (HKD)
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AMg (USD)
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AMg2 (CNY H2-CNH)
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AMg2 (H2-AUD)
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AMg2 (H2-CAD)
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AMg2 (H2-GBP)
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AMg2 (H2-SGD)
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AMg2 (HKD)
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AMg2 (USD)
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AMg7 (H2-AUD)
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AMg7 (USD)
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AMgi (CNY H2-CNH)
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AMgi (H2-JPY)
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AMgi2 (H2-SGD)
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AMi (CNY H2-CNH)
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AMi (H2-AUD)
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AMi (H2-CHF)
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AMi (H2-EUR)
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AMi (H2-JPY)
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AMi (H2-SGD)
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AQ (H2-EUR)
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AQ (USD)
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AT (H2-EUR)
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AT (HKD)
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AT (USD)
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BM (USD)
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BM9 (USD)
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BMg7 (USD)
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BMg9 (USD)
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BT (USD)
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BT9 (USD)
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CM (USD)
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CMg2 (USD)
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CT (H2-EUR)
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CT (USD)
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IM (USD)
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IT (H2-EUR)
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IT (USD)
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P (EUR)
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P (H2-EUR)
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P (USD)
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PLAN12 AM (EUR)
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PLAN12 AMg2 (EUR)
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PM (H2-GBP)
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PM (USD)
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PT (USD)
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RM (CNY H2-CNH)
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RM (H2-AUD)
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RM (H2-CAD)
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RM (H2-EUR)
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RM (H2-GBP)
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RM (H2-SGD)
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RM (HKD)
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RM (USD)
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RT (H2-EUR)
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RT (USD)
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WM (USD)
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WM97 (H2-EUR)
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WM97 (USD)
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WT (USD H2-BRL)
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WT (USD)
Allianz Income and Growth
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A (H2-EUR)
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A (USD)
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AM (CNY H2-CNH)
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AM (H2-AUD)
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AM (H2-CAD)
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AM (H2-CHF)
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AM (H2-EUR)
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AM (H2-GBP)
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AM (H2-JPY)
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AM (H2-NZD)
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AM (H2-SGD)
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AM (H2-ZAR)
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AM (HKD)
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AM (JPY)
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AM (USD)
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AM5 (USD)
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AMg (HKD)
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AMg (USD)
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AMg2 (CNY H2-CNH)
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AMg2 (H2-AUD)
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AMg2 (H2-CAD)
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AMg2 (H2-GBP)
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AMg2 (H2-SGD)
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AMg2 (HKD)
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AMg2 (USD)
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AMg7 (H2-AUD)
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AMg7 (USD)
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AMgi (CNY H2-CNH)
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AMgi (H2-JPY)
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AMgi2 (H2-SGD)
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AMi (CNY H2-CNH)
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AMi (H2-AUD)
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AMi (H2-CHF)
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AMi (H2-EUR)
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AMi (H2-JPY)
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AMi (H2-SGD)
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AQ (H2-EUR)
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AQ (USD)
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AT (H2-EUR)
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AT (HKD)
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AT (USD)
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BM (USD)
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BM9 (USD)
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BMg7 (USD)
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BMg9 (USD)
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BT (USD)
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BT9 (USD)
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CM (USD)
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CMg2 (USD)
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CT (H2-EUR)
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CT (USD)
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IM (USD)
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IT (H2-EUR)
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IT (USD)
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P (EUR)
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P (H2-EUR)
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P (USD)
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PLAN12 AM (EUR)
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PLAN12 AMg2 (EUR)
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PM (H2-GBP)
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PM (USD)
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PT (USD)
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RM (CNY H2-CNH)
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RM (H2-AUD)
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RM (H2-CAD)
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RM (H2-EUR)
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RM (H2-GBP)
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RM (H2-SGD)
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RM (HKD)
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RM (USD)
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RT (H2-EUR)
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RT (USD)
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WM (USD)
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WM97 (H2-EUR)
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WM97 (USD)
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WT (USD H2-BRL)
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WT (USD)
Redemption Price
7.1906 SGD
Redemption Price 7.1906 SGDas of 23/04/2025
Redemption Price Change
2.06%
Redemption Price Change 2.06%as of 23/04/2025
Summary Risk Indicator
1
2
3
4
5
6
7
The Summary Risk Indicator (SRI) is a guide to the level of risk of this product compared to other products. It shows how likely it is that the product will lose money because of movements in the markets or because we are not able to pay you. The categorization of a product is not guaranteed and may change in the future. Even the lowest category 1 does not mean a risk-free investment.
as of 23/04/2025
Key Facts
Fund manager

Justin Kass
Since 01/03/2022

Michael Yee
Since 01/03/2022

David Oberto
Since 01/03/2022

Turner, Ethan
Since 15/03/2023
Additional Information
Fund objectives
Opportunities
- Attractive potential returns of equities, high-yield bonds and convertible bonds
- Investments specifically in the U.S. capital market
- Currency gains possible in unhedged share classes
- Broad diversification across numerous securities
- Potential additional returns from security analysis and active management
Risks
- Equities, high-yield bonds and convertible bonds may be subject to volatility and loss risks. The volatility of the fund unit price may be strongly increased.
- Underperformance of the U.S. capital market possible
- Currency losses possible in unhedged share classes
- Limited participation in the potential of individual securities
- Success of single security analysis and active management not guaranteed