The Allianz Global Investors Dynamic Multi Asset Strategy SRI 15 fund (LU1089088154) signed the NAV on 24th Jun at 1121.6 EUR with a daily change of 0.22%.

The Fund's five-year performance is mostly growth.

AI sold the Fund at 1135.66 on 13th Jun losing -1.56%.
The Fund is at the main cycle low at 6 o'clock from 2nd Jun.

The AI system, in the 3035 market days analysed, identified 12 operations for the Fund. The average change in positive trades (8.87%) was higher than negative trades (-0.98%) at a ratio of 9.1 to 1 and the overall average change is 4.77%
Updated at 26th Jun - 09:36:20

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YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
2022-3.92%-2.40%-0.02%-1.54%                        
20215.66%0.12%-0.31%1.63%0.28%0.18%1.11%1.23%0.56%-0.91%0.83%0.46%0.36%
20207.93%1.74%-1.09%-1.39%1.76%0.74%0.83%1.07%0.29%0.65%0.10%2.59%0.44%
20195.25%0.70%0.36%-0.39%2.12%1.77%1.22%0.09%-0.57%0.50%-0.65%
2018-2.23%0.30%-1.05%-0.42%1.00%-0.68%0.32%0.44%0.44%-0.15%-2.41%
2017-0.56%-0.59%0.46%0.50%-0.81%-0.56%1.35%0.30%-1.19%
20164.16%0.53%0.80%-0.70%0.80%1.41%1.79%0.46%-0.98%
20152.09%2.33%1.65%0.84%-0.68%-1.49%-0.17%0.96%-1.30%
201414.64%1.28%1.39%0.78%0.70%1.82%1.52%1.29%2.12%-0.02%0.25%2.05%0.59%
20136.21%-0.20%0.66%1.51%3.12%-0.44%-2.42%0.94%-0.76%1.18%2.09%0.91%-0.43%
20128.99%1.49%1.32%0.31%-0.20%0.80%-1.13%2.43%0.38%0.71%0.36%1.54%0.67%
20113.23%0.26%0.41%1.14%-0.85%0.20%1.11%0.37%-0.73%1.30%
20101.58%1.93%-0.22%0.07%-0.63%0.22%2.00%-0.21%-0.70%-0.86%
YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
2022-9.12%-1.99%-1.96%0.75%-1.55%-1.95%-2.76%                        
20215.66%0.12%-0.31%1.63%0.28%0.18%1.11%1.23%0.56%-0.91%0.83%0.46%0.36%
20202.94%1.74%-1.09%-5.66%1.45%0.74%0.83%1.07%0.29%0.65%0.10%2.59%0.44%
20198.68%1.77%0.42%1.76%0.36%-0.39%2.12%1.77%1.22%0.09%-0.57%0.50%-0.65%
2018-4.13%0.30%-1.21%-0.42%1.00%-0.68%0.32%0.44%0.44%-0.15%-2.42%0.04%-1.82%
20172.23%-0.89%1.76%-0.63%0.46%0.50%-0.81%0.28%0.19%0.49%1.80%0.30%-1.19%
20163.76%0.39%0.53%0.80%-0.70%0.80%1.41%1.79%0.46%-0.11%-1.75%-0.27%0.40%
2015-0.01%1.94%1.80%0.84%-0.68%-0.87%-2.84%1.85%-1.99%0.05%2.00%0.96%-2.88%
201414.64%1.28%1.39%0.78%0.70%1.82%1.52%1.29%2.12%-0.02%0.25%2.05%0.59%
20136.21%-0.20%0.66%1.51%3.12%-0.44%-2.42%0.94%-0.76%1.18%2.09%0.91%-0.43%
20128.99%1.49%1.32%0.31%-0.20%0.80%-1.13%2.43%0.38%0.71%0.36%1.54%0.67%
20112.10%-0.50%0.63%-0.61%0.41%1.14%-0.85%0.20%1.11%0.37%-1.15%-2.16%3.61%
20102.39%-0.93%1.30%2.57%-0.22%0.07%-0.63%0.22%2.00%-0.21%-0.70%-1.79%0.76%
YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
20225.20%    1.96%    1.55%1.93%1.22%                        
2021                                                    
20204.99%        4.27%0.31%                                
2019                                                    
20181.90%    0.16%                            0.01%    1.82%
2017    0.89%    0.04%                                    
20160.40%                                    1.75%0.27%    
20152.10%0.39%                2.84%    1.99%            1.58%
2014                                                    
2013                                                    
2012                                                    
20111.13%0.50%    0.87%                        0.42%2.16%    
2010    0.93%                                    0.93%    


Signals
DateSignalPriceProfitDays
13.06.2022Sold1135.66-1.56%26
18.05.2022Bought1153.65
28.01.2022Sold1204.5712.15%667
01.04.2020Bought1074.06
11.03.2020Sold1126.124.45%357
20.03.2019Bought1078.19
12.10.2018Sold1063.18-0.85%232
22.02.2018Bought1072.27
06.02.2018Sold1073.96-0.97%124
05.10.2017Bought1084.45
10.07.2017Sold1063.38-1.00%129
03.03.2017Bought1074.09
13.09.2016Sold1073.674.16%228
29.01.2016Bought1030.81
07.12.2015Sold1043.54-0.52%39
29.10.2015Bought1049.03
08.05.2015Sold1051.480.29%92
05.02.2015Bought1048.41
26.01.2015Sold1050.937.56%1147
06.12.2011Bought763.94
26.10.2011Sold766.671.91%211
29.03.2011Bought752.34
22.11.2010Sold759.31.58%263
04.03.2010Bought747.5