| Ex-Date | Pay Date | Amount | Change |
|---|---|---|---|
| $0.3606 | |||
| $0.0586 | 67.43% | ||
| $0.035 | 0% | ||
| $0.035 | 0% | ||
| $0.035 | 0% | ||
| $0.035 | 0% | ||
| $0.035 | 0% | ||
| $0.035 | 14.01% | ||
| $0.0307 | 0% | ||
| $0.0307 | 0% | ||
| $0.0307 | 0% | ||
| $0.3775 | -10.42% | ||
| $0.0307 | 0% | ||
| $0.0307 | 0% | ||
| $0.0307 | 0% | ||
| $0.0307 | 0% | ||
| $0.0307 | 0% | ||
| $0.0307 | 0% | ||
| $0.0307 | 0% | ||
| $0.0307 | 0% | ||
| $0.0307 | -9.17% | ||
| $0.0338 | 0% | ||
| $0.0338 | 0% | ||
| $0.0338 | 0% | ||
| $0.4214 | 27.47% | ||
| $0.3306 | 12.83% | ||
| $0.293 | -31.17% | ||
| $0.4257 | -27.54% | ||
| $0.5875 | 14.63% | ||
| $0.5125 | 13.89% | ||
| $0.45 | 18.67% | ||
| $0.3792 | 15.19% | ||
| $0.3292 | |||
Allianz Global Investors Fund - Allianz Balanced Income and Growth AM (USD) pays a dividend yield (FWD) of 5.13%.
- ISIN
- WKN
- Symbol / Exchange
- / OTC
- Value
- €7.54
- Dividend frequency
- monthly
- Security Type
- Fund
- Dividend Currency
- US Dollar
- 11 Countries
France
20.46%United Kingdom
18.50%Germany
17.90%Switzerland
11.56%Sweden
10.46%Spain
7.36%Belgium
3.96%Norway
3.93%Ireland
2.77%Italy
2.61%Netherlands
0.49%
- 10 Sectors
Financials
27.05%Industrials
21.49%Consumer Staples
12.42%Health Care
11.45%Consumer Discretionary
9.45%Energy
6.23%Materials
4.36%Communication Services
4.12%Utilities
2.94%Information Technology
0.49%
- 5 Holdings
- Siemens AG2.52%
- KBC Groupe NV2.05%
- Roche Holding AG Gs1.80%
- Volvo AB Class B1.78%
- Nordea Bank Abp1.71%

