Market Snapshot
  • U.S.
  • Europe
  • Asia
Ticker Volume Price Price Delta
DJIA 15,387.60 +52.30 0.34%
S&P 500 1,669.16 +2.87 0.17%
Nasdaq 3,502.12 +5.69 0.16%
Ticker Volume Price Price Delta
STOXX 50 2,821.65 -2.85 -0.10%
FTSE 100 6,803.87 +48.24 0.71%
DAX 8,472.20 +16.37 0.19%
Ticker Volume Price Price Delta
Nikkei 15,560.00 +178.93 1.16%
Hang Seng 23,366.40 -126.66 -0.54%
S&P/ASX 200 5,157.70 -22.36 -0.43%
  • Fund Type: Unit Trust
  • Objective: Emerging Market-Debt
  • Asset Class: Debt
  • Geographic Focus: Global

Allianz PIMCO Emerging Markets Bond Fund

+ Add to Watchlist

DITEMBD:ID

126.06 EUR

As of 21:19:32 ET on 05/21/2013.

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

Snapshot for Allianz PIMCO Emerging Markets Bond Fund (DITEMBD)

Year To Date: -0.29% 3-Month: +1.23% 3-Year: +10.75% 52-Week Range: 116.56 - 133.36
1-Month: -0.01% 1-Year: +12.34% 5-Year: +8.41% Beta vs JPEIEPEU: 0.90

Mutual Fund Chart for DITEMBD

No chart data available.
  • DITEMBD:ID 126.06
  • 1M
  • 1Y
Interactive DITEMBD Chart

Previous Close

Fund Profile & Information for DITEMBD

Allianz PIMCO Emerging Markets Bond Fund is a UCITS certified unit trust incorporated in Ireland. The objective is to achieve above-average return in Euros. The Fund invests in a diversified portfolio of international bonds issued by newly industrialized countries.

Inception Date: 03-24-2004 Telephone: 353-1-8181-100
Managers: TIM HAAF
Web Site: www.allianzglobalinvestors.de

Fundamentals for DITEMBD

NAV (on 2013-05-21) 126.06
Assets (M) (on 2013-05-21) 987.00
Fund Leveraged N
Minimum Investment 1,000,000.00
Minimum Subsequent Investment -

Dividends for DITEMBD

Dividend Type Income
Dividend Frequency Annual
Last Dividend Net (on 2013-03-04) 4.30
Dividend Yield (ttm) 4.66

Fees & Expenses for DITEMBD

Front Load 0.00
Back Load 0.00
Current Mgmt Fee 0.59
Redemption Fee 0.00
12b1 Fee -
Expense Ratio 0.71

Top Fund Holdings for DITEMBD

Filing Date: 01/31/2013
Name Position Value % of Total
RUSSIA 7 ½ 03/31/30 48,980 45,995,837 4.093%
VENZ 9 ¼ 05/07/28 58,355 43,984,448 3.914%
US 10YR NOTE (CBT)Mar13 291 28,145,812 2.505%
PDVSA 8 ½ 11/02/17 33,370 24,854,109 2.212%
VENZ 9 05/07/23 25,344 19,120,447 1.701%
MEX 5 ¾ 10/12/10 22,700 19,088,194 1.699%
TURKEY 6 ⅞ 03/17/36 18,700 18,255,600 1.624%
TURKEY 6 ¾ 05/30/40 18,700 18,239,639 1.623%
INDON 4 ⅞ 05/05/21 20,200 17,120,540 1.523%
MEX 5.95 03/19/19 18,750 17,109,794 1.522%

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