Allianz Capital Plus - WT - EUR/  LU1254137224  /

Fonds
NAV04/06/2024 Chg.+1.8800 Type of yield Investment Focus Investment company
1,221.5699EUR +0.15% reinvestment Mixed Fund Allianz Gl.Investors 

Funds documents

Date Document Year Language Filesize
05/06/2024 Public WebStation Live Factsheet 2024 English -
16/02/2024 PRIIP Key Information Document 2024 English 300.46 KB
16/02/2024 PRIIP Key Information Document 2024 German 256.91 KB
02/02/2024 Prospectus 2024 German 12,565.72 KB
02/11/2023 Prospectus 2023 English 10,851.10 KB
30/09/2023 Account statment 2023 English 11,862.56 KB
30/09/2023 Account statment 2023 German 27,593.42 KB
31/03/2023 Semi-annual report 2023 English 5,685.88 KB
31/03/2023 Semi-annual report 2023 German 5,698.01 KB
29/12/2022 Key Investor Information 2022 English 78.85 KB
31/08/2022 Key Investor Information 2022 German 79.58 KB