| Ex-Date | Pay Date | Amount | Change |
|---|---|---|---|
| £5.8633 | |||
| £0.5863 | 0% | ||
| £0.5863 | 0% | ||
| £0.5863 | 0% | ||
| £0.5863 | 0% | ||
| £0.5863 | 0% | ||
| £0.5863 | 0% | ||
| £0.5863 | 0% | ||
| £0.5863 | 0% | ||
| £0.5863 | 0% | ||
| £0.5863 | 0% | ||
| £6.912 | 4.13% | ||
| £0.5863 | 0% | ||
| £0.5863 | 0% | ||
| £0.5863 | 0% | ||
| £0.5863 | 0% | ||
| £0.5863 | 0% | ||
| £0.5863 | 0% | ||
| £0.5863 | 0% | ||
| £0.5863 | 0% | ||
| £0.5863 | 7.58% | ||
| £0.545 | 0% | ||
| £0.545 | 0% | ||
| £0.545 | 0% | ||
| £6.6376 | -14.02% | ||
| £7.7202 | 6.62% | ||
| £7.2409 | 14.33% | ||
| £6.3334 | 5.56% | ||
| £6.00 | 0% | ||
| £6.00 | 0% | ||
| £6.00 | 0% | ||
| £6.00 | -14.29% | ||
| £7.00 | |||
Allianz Global Investors Fund - Allianz Income and Growth RM (H2-GBP) pays a dividend yield (FWD) of 7.18%.
- ISIN
- WKN
- Symbol / Exchange
- / XLON
- Value
- €112.19
- Dividend frequency
- monthly
- Security Type
- Fund
- Dividend Currency
- British Pound
- 17 Countries
United States
99.39%Brazil
0.19%United Kingdom
0.13%Canada
0.12%Germany
0.027%Taiwan
0.025%Mexico
0.019%South Korea
0.015%Italy
0.012%Netherlands
0.011%Singapore
0.011%Japan
0.011%Switzerland
0.011%France
0.0098%China
0.0090%Spain
0.0034%Israel
0.0018%
- 11 Sectors
Information Technology
34.69%Consumer Discretionary
12.67%Financials
12.22%Communication Services
10.92%Industrials
10.07%Health Care
8.73%Consumer Staples
3.71%Utilities
2.76%Real Estate
1.86%Materials
1.68%Energy
0.69%
- 9 Holdings
- Microsoft Corp2.95%
- NVIDIA Corp2.73%
- Apple Inc2.12%
- Amazon.com Inc1.67%
- Meta Platforms Inc1.46%
- Alphabet Inc Class A1.05%
- Mastercard Inc0.78%
- Broadcom Inc0.78%

