The Allianz Global Investors Convertible Bond fund (LU0706716544) signed the NAV on 24th Jun at 1349.86 EUR with a daily change of -0.53%.

The Fund's five-year performance is mostly value.
The fund hit an annual low at its last NAV.

AI sold the Fund at 1431.7 on 11th May losing -2.28%.
The Fund is at the main cycle low at 6 o'clock from 8th Jun.

The AI system, in the 3069 market days analysed, identified 9 operations for the Fund. The average change in positive trades (10.26%) was higher than negative trades (-1.91%) at a ratio of 5.4 to 1 and the overall average change is 6.21%
Updated at 26th Jun - 09:36:01

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YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
2022-5.28%-3.07%1.85%-0.91%-3.17%                        
20214.19%0.73%-0.28%-0.29%1.19%-0.11%1.35%0.87%1.10%-2.34%0.09%1.35%0.52%
20208.78%1.75%-1.02%-2.84%3.74%0.52%1.15%0.31%2.12%0.10%-0.90%2.90%0.78%
20195.34%0.29%1.23%-0.97%0.93%1.36%-0.37%1.04%0.13%1.78%-0.17%
2018-4.81%-0.06%-0.69%-1.39%1.55%0.13%-0.09%-0.15%0.38%-2.02%-0.87%-1.65%
20172.38%-0.15%1.26%-0.51%2.33%0.74%-1.43%-0.17%-0.89%1.56%1.82%-1.48%-0.61%
20162.41%-4.65%0.84%2.44%0.41%1.58%-2.58%2.41%0.76%-0.24%-0.40%0.08%1.99%
20157.85%4.54%2.55%1.31%-0.49%0.50%-2.80%1.92%-2.93%-0.19%4.25%0.85%-1.60%
20144.13%-0.06%2.02%0.82%0.47%1.12%-0.94%-1.30%0.58%-1.05%0.15%1.60%0.71%
20139.34%0.04%0.57%0.70%0.44%2.55%-2.11%1.56%0.91%2.65%1.59%-0.30%0.44%
201216.68%4.51%3.86%-0.58%-0.21%-0.93%0.59%4.34%0.53%0.16%0.74%1.46%1.25%
2011-5.80%0.05%3.41%-1.40%-0.22%-0.20%-0.65%-1.81%-3.10%-3.47%3.30%-3.00%1.42%
20109.85%1.04%-0.54%-0.84%0.31%2.47%-0.11%1.70%1.83%0.48%3.18%
YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
2022-14.49%-2.53%-2.73%-0.29%-0.91%-2.08%-6.77%                        
20214.19%0.73%-0.28%-0.29%1.19%-0.11%1.35%0.87%1.10%-2.34%0.09%1.35%0.52%
20203.20%1.75%-1.02%-7.82%3.74%0.52%1.15%0.31%2.12%0.10%-0.90%2.90%0.78%
201911.14%2.51%1.54%1.65%1.23%-0.97%0.93%1.36%-0.37%1.04%0.13%1.78%-0.17%
2018-5.50%-0.06%-0.58%-1.39%1.55%0.13%-0.09%-0.15%0.38%-2.02%-0.87%-2.47%
20172.38%-0.15%1.26%-0.51%2.33%0.74%-1.43%-0.17%-0.89%1.56%1.82%-1.48%-0.61%
2016-0.11%-4.59%-1.71%2.44%0.41%1.58%-2.58%2.41%0.76%-0.24%-0.40%0.08%1.99%
20157.85%4.54%2.55%1.31%-0.49%0.50%-2.80%1.92%-2.93%-0.19%4.25%0.85%-1.60%
20143.82%-0.06%2.02%0.82%0.47%1.12%-0.94%-1.30%0.58%-1.05%-0.15%1.60%0.71%
20139.34%0.04%0.57%0.70%0.44%2.55%-2.11%1.56%0.91%2.65%1.59%-0.30%0.44%
201216.68%4.51%3.86%-0.58%-0.21%-0.93%0.59%4.34%0.53%0.16%0.74%1.46%1.25%
2011-7.33%0.05%3.41%-1.40%-0.22%-0.20%-0.65%-1.81%-4.67%-3.47%3.30%-3.00%1.42%
20109.91%-0.89%0.23%4.03%-0.54%-2.99%0.31%2.47%-0.11%1.70%1.83%0.48%3.18%
YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
20229.21%    2.73%2.14%        6.77%                        
2021                                                    
20205.58%        4.98%                                    
2019                                                    
20180.69%                                            0.82%
2017                                                    
20162.52%    2.55%                                        
2015                                                    
20140.31%                                    0.30%        
2013                                                    
2012                                                    
20111.53%                            1.57%                
2010    0.89%            2.15%                            


Signals
DateSignalPriceProfitDays
11.05.2022Sold1431.7-2.28%57
15.03.2022Bought1465.13
26.01.2022Sold1530.0713.16%667
30.03.2020Bought1352.11
10.03.2020Sold1425.22.26%355
21.03.2019Bought1393.68
11.12.2018Sold1332.12-3.10%299
15.02.2018Bought1374.73
07.02.2018Sold1373.148.03%721
17.02.2016Bought1271.1
18.01.2016Sold1303.217.11%453
22.10.2014Bought1216.74
09.10.2014Sold1220.3925.49%1154
12.08.2011Bought972.5
04.08.2011Sold988.535.54%430
31.05.2010Bought936.63
10.05.2010Sold957.37-0.35%52
19.03.2010Bought960.74