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Fund details

Allianz GIF Asian Multi Inc Plus AMg H2 SGD (LU1282649810)

PSPL Risk Classification: Medium to High

The Fund aims at long-term capital appreciation and income through investments in equity, business trust and interest-bearing security markets with a focus on the Asia Pacific region.
Fund Information
  • Asset Class:Balanced
  • Sector:Multi Sector
  • Geography:Asia Pacific
  • Benchmark index:
  • Launch Date:13 Oct 2015
  • Launch Price:10
  • Fund Currency:SGD
  • Fund Source: CASH,SRS-IA
  • CPF Risk Classification:
  • Price Made Known On:T+2
  • Price Type:Net Asset Value
  • Dealing Cut Off Time:3:00PM Spore Time
Information
Cash CPFOA-IA CPFSA-IA SRS-IA
Minimum Investment AmountSGD 1000--SGD 1000
Minimum Subsequent InvestmentSGD 100--SGD 100
Minimum Redemption Amount ($)/units0 Unit(s)--0 Unit(s)
Relevant Charges
Cash CPFOA-IA CPFSA-IA SRS-IA
POEMS Sales Charge0%--0%
Internal Switch-in Charge/Min Switch-in Charge0.00 % / $ 0.00--0.00 % / $ 0.00
External Switch-in ChargeNA--NA
Redemption/Realisation ChargeNA--NA
Annual Management Fee1.5%--1.5%
Annual Trustee Fee--
Expense Ratio1.5%--1.5%
Fund Manager Sales ChargeNA--NA
Admin FeeNA--NA
Information
Period Performance (%) Volatility (%) Ratio
1 Year NA 15.85 NA
2 Years NA 20.36 NA
3 Years NA 25.46 NA
5 Years NA 30.62 NA
10 Years NA NA NA

The performance figures are calculated using NAV to NAV prices (before sales charge, if any) and does not take into account dividends, if any.

Information
Morningstar Ratings
Overall
3 Years
5 Years
10 Years

PERFORMANCE

PeriodPerformance (%)Volatility (%)Return/Volatility Ratio
YTD-2.34040.8703-2.69
1 Day1.25062.73090.46
1 Week-0.54662.0699-0.26
1 Month-4.82073.7015-1.30
3 Months-1.92486.7346-0.29
6 Months-1.365212.3259-0.11
1 Year-13.571315.8507-0.86
2 Years-34.770820.3615-1.71
3 Years-7.809325.4641-0.31
5 Years-37.313730.6171-1.22
10 Yearsnan

ANNUALIZED PERFORMANCE

PeriodPerformance (%)Volatility (%)Return/Volatility Ratio
1 YearNA15.8507NA
2 YearsNA14.3977NA
3 Years-2.67414.7017-0.18
5 YearsNA13.6924NA
10 YearsNA-1NA

The performance figures are calculated using NAV to NAV prices (before sales charge, if any) and does not take into account dividends, if any.

Dividend Information

Dividends shall be credited to your account about 10 working days from the 'Payment Date' seen below.

Ex Date Payment Date Dividend Payout per unit
15 Mar 202320 Mar 20230.036570000
15 Feb 202320 Feb 20230.036570000
16 Jan 202319 Jan 20230.036570000
15 Dec 202220 Dec 20220.036570000
15 Nov 202218 Nov 20220.036566810
17 Oct 202220 Oct 20220.043000000
15 Sep 202220 Sep 20220.043000000
15 Aug 202219 Aug 20220.043000000
15 Jul 202220 Jul 20220.043000000
15 Jun 202220 Jun 20220.043000000
17 May 202220 May 20220.043000000
18 Apr 202222 Apr 20220.043000000
15 Mar 202218 Mar 20220.043000000
15 Feb 202218 Feb 20220.043000000
17 Jan 202220 Jan 20220.043000000
15 Dec 202120 Dec 20210.043000000
15 Nov 202118 Nov 20210.043000000
13 Oct 202120 Oct 20210.043000000
15 Sep 202120 Sep 20210.043000000
16 Aug 202119 Aug 20210.043000000
15 Jul 202121 Jul 20210.043000000
14 Jun 202118 Jun 20210.043000000
17 May 202121 May 20210.043000000
15 Apr 202120 Apr 20210.043000000
15 Mar 202118 Mar 20210.043000000
15 Feb 202119 Feb 20210.043000000
15 Jan 202120 Jan 20210.043000000
15 Dec 202018 Dec 20200.043000000
16 Nov 202019 Nov 20200.043000000
15 Oct 202020 Oct 20200.043000000
15 Sep 202018 Sep 20200.047500000
17 Aug 202020 Aug 20200.047500000
15 Jul 202020 Jul 20200.043330000
15 Jun 202018 Jun 20200.043330000
15 May 202020 May 20200.043330000
15 Apr 202020 Apr 20200.043330000
16 Mar 202019 Mar 20200.043330000
17 Feb 202020 Feb 20200.043330000
15 Jan 202020 Jan 20200.043330000
16 Dec 201919 Dec 20190.043330000
15 Nov 201920 Nov 20190.043330000
15 Oct 201918 Oct 20190.043330000
16 Sep 201919 Sep 20190.043330000
15 Aug 201921 Aug 20190.043330000
15 Jul 201918 Jul 20190.043330000
17 Jun 201919 Jun 20190.043330000
15 May 201921 May 20190.043330000
15 Apr 201918 Apr 20190.043330000
15 Mar 201920 Mar 20190.043330000
15 Feb 201920 Feb 20190.043330000
15 Jan 201918 Jan 20190.043330000
17 Dec 201820 Dec 20180.043330000
15 Nov 201820 Nov 20180.043330000
15 Oct 201819 Oct 20180.043330000
17 Sep 201820 Sep 20180.043330000
15 Aug 201821 Aug 20180.043330000
16 Jul 201819 Jul 20180.043330000
18 Jun 201822 Jun 20180.043330000
15 May 201818 May 20180.043330000
16 Apr 201819 Apr 20180.043330000
15 Mar 201820 Mar 20180.043330000
15 Feb 201822 Feb 20180.043330000
15 Jan 201818 Jan 20180.043330000
15 Dec 201720 Dec 20170.043330000
15 Nov 201720 Nov 20170.043330000
16 Oct 201719 Oct 20170.043330000
15 Sep 201720 Sep 20170.047500000
15 Aug 201721 Aug 20170.047500000
17 Jul 201720 Jul 20170.047500000
15 Jun 201720 Jun 20170.047500000
15 May 201718 May 20170.047500000
17 Apr 201721 Apr 20170.047500000
15 Mar 201720 Mar 20170.056670000
15 Feb 201720 Feb 20170.056670000
16 Jan 201719 Jan 20170.056670000
15 Dec 201620 Dec 20160.056670000
15 Nov 201618 Nov 20160.056670000
17 Oct 201620 Oct 20160.056670000
15 Sep 201621 Sep 20160.056670000
16 Aug 201619 Aug 20160.056670000
15 Jul 201620 Jul 20160.056670000
15 Jun 201620 Jun 20160.056670000
17 May 201620 May 20160.056670000
15 Apr 201620 Apr 20160.056670000
15 Mar 201618 Mar 20160.066670000
15 Feb 201618 Feb 20160.066670000
15 Jan 201620 Jan 20160.066670000
15 Dec 201518 Dec 20150.066670000
16 Nov 201519 Nov 20150.066670000

Fund Name:Allianz GIF Asian Multi Inc Plus AMg H2 SGD (LU1282649810)

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  • Semi-Annual / Annual Reportsview
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Allianz Global Investors Singapore Ltd

Allianz Global Investors Singapore Ltd

  • Address79 Robinson Road
  •  #09-03
  • Tel:6311 8033
  • Fax:63118025
  • URLwww.allianzgi.sg

About Fund Manager

Fund Name

CASH

CPF OA-IA

CPF SA-IA

SRS-IA

Min Initial Investment Require/Amount

1 Year Return

 

Allianz GIF Asian Multi Inc Plus AMg H2 SGD (LU1282649810)

100(M)
250(Q)

(M)
(Q)

(M)
(Q)

100(M)
250(Q)

No

-

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