- The Fund aims at long-term capital growth by investing in Asia Pacific equity and bond markets.
- The Fund is exposed to significant risks of investment/general market, country and region, company-specific, emerging market, valuation, and asset allocation, interest rate, creditworthiness/credit rating/downgrading, default and currency (such as exchange controls, in particular RMB), and the adverse impact on RMB share classes due to currency depreciation. Investing in bonds may be subject to specific risks such as interest rate, creditworthiness risk/credit rating/downgrading, and default.
- The Fund may invest in the China A-Shares market directly via the Stock Connect or other foreign access regimes and/or other permitted means and/or indirectly through all eligible instruments and thus is subject to the associated risks (including quota limitation, change in rule and regulations, repatriation of the Fund’s monies, trade restrictions, China market volatility and uncertainty, potential clearing and/or settlement difficulties, change in economic, social and political policy in PRC and Mainland China tax risks).
- The Fund may invest in the China A-Shares market via the Stock Connect and/or indirectly through all eligible instruments and thus is subject to the associated risks (including quota limitations, trade restrictions, clearing and settlement, China market volatility and uncertainty, change in economic, social and political policy in PRC and taxation risks).
- The Fund may invest in bonds which may subject to higher risks, such as interest rate, creditworthiness/credit rating/downgrading and default risks and therefore may increase the risk of loss of original investmen
- 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.
Allianz Oriental Income ++ - Class AT (HKD) Acc.
Allianz Global Investors Fund | ISIN LU2293587155 | Last Updated on 27/12/2024
On 03/10/2008, the assets of Allianz GIS RCM Oriental Income Fund were merged into Allianz Global Investors Fund - Allianz Oriental Income (formerly named: Allianz RCM Oriental Income).