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  • Fund Type: FCP
  • Objective: Multi-Strategy-Multi-Style
  • Asset Class: Alternative
  • Geographic Focus: International

Allianz Volatility Strategy

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ALLVOP2:LX

1,098.80 EUR 1.06 0.10%

As of 16:02:25 ET on 06/18/2013.

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Snapshot for Allianz Volatility Strategy (ALLVOP2)

Year To Date: +0.70% 3-Month: -0.30% 3-Year: - 52-Week Range: 1,065.83 - 1,102.27
1-Month: -0.28% 1-Year: +2.26% 5-Year: - Beta vs LUXXX: -

Mutual Fund Chart for ALLVOP2

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  • ALLVOP2:LX 1,098.80
  • 1M
  • 1Y
Interactive ALLVOP2 Chart

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Fund Profile & Information for ALLVOP2

Allianz Volatility Strategy is an open-end investment fund incorporated in Luxembourg. The Fund's objective is long term capital appreciation. The Fund enters into various derivatives on variance in the global equity markets using a quantitative approach. The derivatives used are mainly variance swaps. The core portfolio has a risk/return profile similar to Euro money market issues.

Inception Date: 11-22-2011 Telephone: 352-463-463-1 Tel
Managers: STEFAN KLOSS / MICHAEL STAMOS
Web Site: www.allianzglobalinvestors.lu

Fundamentals for ALLVOP2

NAV (on 2013-06-18) 1,098.80
Assets (M) (on 2013-06-18) 326.44
Fund Leveraged N
Minimum Investment -
Minimum Subsequent Investment -

Dividends for ALLVOP2

Dividend Type Income
Dividend Frequency Irreg
Last Dividend Net (on 2012-07-16) 4.43
Dividend Yield (ttm) 0.40

Fees & Expenses for ALLVOP2

Front Load 2.00
Back Load -
Current Mgmt Fee 1.00
Redemption Fee -
12b1 Fee -
Expense Ratio -

Top Fund Holdings for ALLVOP2

Filing Date: 02/28/2013
Name Position Value % of Total
Allianz Enhanced Short Term Eu 25,213 25,911,600 8.566%
BGTB 0 12/19/13 20,000 19,982,500 6.606%
FRTR 4 10/25/13 16,000 16,626,685 5.497%
EFSF 0.4 03/12/13 15,000 15,058,642 4.978%
SNCF 5 ⅝ 07/09/13 14,000 14,774,421 4.884%
FMSWER 2 ¼ 07/14/14 14,000 14,595,113 4.825%
KAFIN 2 ¼ 03/24/14 14,000 14,594,541 4.825%
NRWBK 4 ¼ 05/14/13 14,000 14,586,370 4.822%
KFW 1 ⅞ 05/16/13 14,000 14,258,942 4.714%
CADES 1 ¾ 11/18/13 14,000 14,231,677 4.705%

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

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