• The Fund aims at long-term capital growth and income by investing in global bond markets.
  • The Fund is exposed to significant risks of investment/general market, creditworthiness/credit rating, interest rate, default, valuation, sovereign debt, emerging markets, and currency.
  • Investing in share class with fixed distribution percentage (Class AMf) is not an alternative to fixed interest paying investment. Investors should note that fixed distribution percentage is not guaranteed. The percentage of distributions paid by these share classes is unrelated to expected or past income or returns of these share classes or the Fund. Distribution will continue even the fund has negative returns and may adversely impact the net asset value of the Fund.  Positive distribution yield does not imply positive return.
  • The Fund may invest in high-yield (non-investment grade and unrated) investments which may subject to higher risks, such as volatility, loss of principal and interest, creditworthiness and downgrading, default, interest rate, general market and liquidity risks and therefore may increase the risk of loss of original investment.
  • The Fund may invest in financial derivative instruments (“FDI”) which may expose to higher leverage, counterparty, liquidity, valuation, volatility, market and over the counter transaction risks.  The Fund’s net derivative exposure may be up to 50% of the Fund’s net asset value.
  • This investment may involve risks that could result in loss of part or entire amount of investors’ investment.
  • In making investment decisions, investors should not rely solely on this material.
  • Note: Dividend payments may, at the sole discretion of the Investment Manager, be made out of the Fund’s capital or effectively out of the Fund’s capital which represents a return or withdrawal of part of the amount investors originally invested and/or capital gains attributable to the original investment. This may result in an immediate decrease in the NAV per share and the capital of the Fund available for investment in the future and capital growth may be reduced, in particular for hedged share classes for which the distribution amount and NAV of any hedged share classes (HSC) may be adversely affected by differences in the interests rates of the reference currency of the HSC and the base currency of the Fund, particularly if such HSC are applying the IRD Neutral Policy.

Allianz Global Opportunistic Bond - Class A (EUR) Dis.

Allianz Global Investors Fund | ISIN LU1254137497 | Last Updated on 13/08/2026

Shareclass
  • Class A (EUR)
  • Class AMg (H2-RMB)
  • Class AMg (H2-AUD)
  • Class AMg (H2-EUR)
  • Class AMg (H2-GBP)
  • Class AMg (H2-SGD)
  • Class AMg (HKD)
  • Class AMg (USD)
  • Class AMgi (H2-RMB)
  • Class AMgi (H2-AUD)
  • Class AMgi (H2-CHF)
  • Class AMgi (H2-EUR)
  • Class AMgi (H2-JPY)
  • Class AMgi (H2-SGD)
  • Class AT (HKD)
  • Class AT (USD)

Allianz Global Opportunistic Bond - Class A (EUR) Dis.

Shareclass
  • Class A (EUR)
  • Class AMg (H2-RMB)
  • Class AMg (H2-AUD)
  • Class AMg (H2-EUR)
  • Class AMg (H2-GBP)
  • Class AMg (H2-SGD)
  • Class AMg (HKD)
  • Class AMg (USD)
  • Class AMgi (H2-RMB)
  • Class AMgi (H2-AUD)
  • Class AMgi (H2-CHF)
  • Class AMgi (H2-EUR)
  • Class AMgi (H2-JPY)
  • Class AMgi (H2-SGD)
  • Class AT (HKD)
  • Class AT (USD)
The asset class classification is based on the classification in the offering documents unless otherwise stated.
Source: All fund data quoted are Allianz Global Investors/IDS GmbH, as at 30/06/2026, unless stated otherwise.
^ Daily change refers to the percentage change of fund price as at the valuation date shown against the previous valuation date.
On 17/12/2018, Allianz Global Bond has been renamed to Allianz Global Opportunistic Bond.
YTD is Year To Date.
All performance figures of the Calendar Year Returns and Cumulative Returns are referenced using the last business day of the month unless otherwise indicated.
The calendar year returns of a Fund in its year of inception (if applicable) is calculated from its launch date to the last business day of the inception year.
The YTD returns of a Fund in its year of inception (if applicable) is calculated from its launch date.
Fund performance is calculated on NAV to NAV basis in denominated currency of the respective share class with gross dividends re-invested. Benchmark performance is calculated in denominated currency of the respective share class. HKD/USD based investors are exposed to foreign exchange fluctuations.
1 Source: Morningstar, as at 31/05/2026. Copyright ©2026 Morningstar Asia Limited ("Morningstar"). All Rights Reserved. The information contained herein: (1) is proprietary to Morningstar and/or its content providers; (2) may not be copied or distributed; and (3) is not warranted to be accurate, complete or timely. Neither Morningstar nor its content providers are responsible for any damages or losses arising from any use of this information. Past performance is no guarantee of future results.
2 The Fund Size quoted includes all share classes of the Fund.
3 The All-in-Fee includes the expenses previously called management and administration fees.
4 Total Expense Ratio (TER): Total cost (except transaction costs) charged to the Fund during the last financial year (as at 30/09/2024) expressed as a ratio of the Fund's average NAV. For share classes that have been incepted for less than one year as at close of the last financial year (please refer to the Inception Date in the Fund Details table), the TER will be annualised. For share classes incepted after the close of the last financial year, the TER will be reflected as N/A.
5 Dividend payments are applicable for Class A Dis (annual distribution) and for reference only. Yields are not guaranteed, dividend may be paid out from capital (Class A). This may result in an immediate decrease in the NAV per share and may reduce the capital available for the Fund for future investment and capital growth. Positive distribution yield does not imply positive return.
6 Annualised Dividend Yield = Dividend Per Share / Ex-Dividend Date NAV. Positive distribution yield does not imply positive return. Dividend is not guaranteed. Historical dividend yield is not indicative of future dividend payouts.
7 Annualised Dividend Yield = [(1 + Dividend Per Share / Ex-Dividend Date NAV)¹² - 1] X 100. The annualised dividend yield is calculated based on the latest dividend distribution with dividend reinvested, and may be higher or lower than the actual annual dividend yield. Positive distribution yield does not imply positive return. Dividend is not guaranteed.
8 The investment opportunities described herein are for reference only but not guaranteed and are not indicative of future performance. The risks described herein are not meant to be exhaustive, please refer to the offering documents for details of risk factors.
9 "12-Month Unit NAV High" and "12-Month Unit NAV Low" refers to the highest / lowest daily fund prices during the past 12 months, as at 13/08/2026.
10 From 1 December 2016 to 30 August 2020, the benchmark calculation for the Fund is based on the US Dollar 3 months LIBOR. With effect from 31 August 2020, the benchmark calculation for the Fund has been based on Secured Overnight Financing Rate (SOFR).
Information herein is based on sources we believe to be accurate and reliable as at the date it was made. We reserve the right to revise any information herein at any time without notice. No offer or solicitation to buy or sell securities and no investment advice or recommendation is made herein. In making investment decisions, investors should not rely solely on this material but should seek independent professional advice.
11 EU Sustainability-related Disclosure Regulation. Information is accurate at time of publishing.
Allianz Global Investors Asia Pacific Limited (32/F, Two Pacific Place, 88 Queensway, Admiralty, Hong Kong) is the Hong Kong Representative and is regulated by the Securities and Futures Commission of Hong Kong. (54/F, One Island East 18 Westlands Road, Quarry Bay, Hong Kong).

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