Market Snapshot
  • U.S.
  • Europe
  • Asia
Ticker Volume Price Price Delta
DJIA 15,307.20 -80.41 -0.52%
S&P 500 1,655.35 -13.81 -0.83%
Nasdaq 3,463.30 -38.82 -1.11%
Ticker Volume Price Price Delta
STOXX 50 2,835.01 +13.36 0.47%
FTSE 100 6,840.27 +36.40 0.53%
DAX 8,530.89 +58.69 0.69%
Ticker Volume Price Price Delta
Nikkei 15,114.50 -512.74 -3.28%
Hang Seng 22,773.10 -488.00 -2.10%
S&P/ASX 200 5,072.70 -92.67 -1.79%
  • Fund Type: FCP
  • Objective: Region Fund-Geo Focused-Debt
  • Asset Class: Debt
  • Geographic Focus: Euro Countries

Allianz Euro Oblig 1-3 Plus

+ Add to Watchlist

ALEOBTD:FP

102.47 EUR

As of 13:16:32 ET on 05/21/2013.

Recently Viewed Symbols
Save as Watchlist
Saving as watchlist...

Snapshot for Allianz Euro Oblig 1-3 Plus (ALEOBTD)

Year To Date: +1.66% 3-Month: +1.26% 3-Year: -0.15% 52-Week Range: 97.31 - 102.53
1-Month: +0.52% 1-Year: +2.21% 5-Year: +0.59% Beta vs JNEU1R3: 0.81

Mutual Fund Chart for ALEOBTD

No chart data available.
  • ALEOBTD:FP 102.47
  • 1M
  • 1Y
Interactive ALEOBTD Chart

Previous Close

Fund Profile & Information for ALEOBTD

Allianz Euro Oblig 1-3 Plus is an open-end fund registered in France. The objective of the Fund is to achieve capital growth through a portfolio composed exclusively of short-term euro bonds. The Fund invests its assets in bonds and other debt securities of the euro zone. The Fund may invest less than five percent of its assets in other OPCVMs.

Inception Date: 09-10-2004 Telephone: -
Managers: -
Web Site: www.allianzgi.fr

Fundamentals for ALEOBTD

NAV (on 2013-05-21) 102.47
Assets (M) (on 2013-05-21) 140.33
Fund Leveraged N
Minimum Investment 5,000.00
Minimum Subsequent Investment -

Dividends for ALEOBTD

No dividends reported

Fees & Expenses for ALEOBTD

Front Load 1.50
Back Load 0.00
Current Mgmt Fee 0.48
Redemption Fee 0.00
12b1 Fee -
Expense Ratio -

Top Fund Holdings for ALEOBTD

Filing Date: 12/31/2012
Name Position Value % of Total
BTPS 3 ¾ 08/01/15 9,550 9,877,326 7.304%
BTPS 3 ½ 06/01/14 9,500 9,728,000 7.194%
BTPS 4 ¼ 08/01/14 7,050 7,306,091 5.403%
SPGB 3.4 04/30/14 6,700 6,763,818 5.002%
FRTR 3 10/25/15 6,000 6,471,150 4.785%
SPGB 4 ¼ 01/31/14 4,750 4,834,697 3.575%
BTPS 3 ¾ 12/15/13 4,000 4,082,000 3.019%
SPGB 4 ¾ 07/30/14 3,400 3,503,530 2.591%
Allianz Securicash SRI 29 3,479,312 2.573%
BTPS 3 04/15/15 3,400 3,454,825 2.555%

Quotes delayed, except where indicated otherwise. Mutual fund NAVs include dividends. All prices in local currency. Time is ET.

Sponsored Financial Commentaries

Advertisement
Advertisement
Sponsored Links
Advertisements
sec ||= nil