Ex-Date | Pay Date | Amount | Change |
---|---|---|---|
A$0.1455 | |||
A$0.0152 | 0% | ||
A$0.0152 | 0% | ||
A$0.0152 | 0% | ||
A$0.0152 | 0% | ||
A$0.0152 | 0% | ||
A$0.0152 | 0% | ||
A$0.0152 | 16.92% | ||
A$0.013 | 0% | ||
A$0.013 | 0% | ||
A$0.013 | 0% | ||
A$0.156 | -1.89% | ||
A$0.013 | 0% | ||
A$0.013 | 0% | ||
A$0.013 | 0% | ||
A$0.013 | 0% | ||
A$0.013 | 0% | ||
A$0.013 | 0% | ||
A$0.013 | 0% | ||
A$0.013 | 0% | ||
A$0.013 | 0% | ||
A$0.013 | 0% | ||
A$0.013 | 0% | ||
A$0.013 | 0% | ||
A$0.159 | -37.3% | ||
A$0.2536 | -27.63% | ||
A$0.3504 | 3.42% | ||
A$0.3388 | -5.76% | ||
A$0.3595 | -28.1% | ||
A$0.50 | -11.11% | ||
A$0.5625 | -12.9% | ||
A$0.6458 | -15.3% | ||
A$0.7625 | 0% |
Allianz Global Investors Fund - Allianz Flexi Asia Bond AM (H2-AUD) pays a dividend yield (FWD) of 3.63%.
- ISIN
- WKN
- Symbol / Exchange
- / XBER
- Value
- €2.71
- Dividend frequency
- monthly
- Security Type
- Fund
- Dividend Currency
- Australian Dollar
- 1 Country
Canada
100.00%
- 11 Sectors
Financials
23.59%Health Care
17.39%Information Technology
11.52%Energy
9.54%Consumer Staples
7.99%Materials
6.82%Consumer Discretionary
6.69%Utilities
5.90%Industrials
4.99%Communication Services
4.81%Real Estate
0.77%