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Allianz German Equity - AT - EUR

Clasificado 9 de 15 sobre - Renta variable - Alemania durante 12 meses
All calculations are in EUR unless stated

Gestionado por

Christoph Berger


The fund aims to generate capital growth in the long term by investing in German equity markets. We invest at least 75% of the Sub-fund's assets directly or using derivatives, in equities and equivalent securities of companies that are incorporated in Germany. Convertible bonds or warrant-linked bonds as well as index certificates and other certificates whose risk profile typically correlates with such equities may be acquired by us.


Renta variable - Alemania durante : 31/01/2017 - 31/01/2018

Rentabilidad Total

Rentabilidad trimestral

a 01/01/2018 Anual T1 T2 T3 T4
2017 18,4% 7,9% 3,1% 4,0% 2,4%
2016 -0,8% -8,4% -5,8% 8,6% 5,9%
2015 19,7% 22,3% -6,3% -6,9% 12,1%
2014 2,8% -0,3% 1,9% -4,5% 6,0%
2013 25,3% 5,6% 1,7% 5,5% 10,5%

Rentabilidad mensual

Rentabilidad ajustada al riesgo

Registrado Para La Venta En

  1. Austria
  2. Chile
  3. Finlandia
  4. Francia
  5. Alemania
  6. Irlanda
  7. Italia
  8. Luxemburgo
  9. Noruega
  10. España
  11. Suecia
  12. Suiza
  13. Reino Unido

Información del fondo

  • Fecha de inauguración22/10/2012
  • Tamaño del fondo44Mn
  • Moneda baseEUR
  • ISIN LU0840617350

Información de compra

  • Inversión mínima inicial0
  • Mínima aportación periódica adicional0


  • Comisión de gestión anual1,80%
  • Inversión inicial5

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El rendimiento es para el periodo mostrado (final de mes hasta final de mes, cotización bid/bid, interés bruto reinvertido, calculado en EUR