Allianz Global Investors Fund ISIN LU1997245177 | Last Updated on 20/11/2024
Allianz China A-Shares - Class AT (USD) Acc.
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Class AT (RMB)
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Class AT (HKD)
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Class AT (H-USD)
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Class AT (USD)
Valuation Date
20/11/2024
Unit NAV
USD 10.4419
Daily Change(%) ^
0.33%
12-Month Unit NAV High/Low