The Allianz Global Investors Global Inflation Linked Bond fund (LU1633810442) signed the NAV on 24th Jun at 968.64 EUR with a daily change of 1.51%.

The Fund's five-year performance is mostly value, but at the moment is lack.

AI sold the Fund at 1044.01 on 11th Apr losing -2.62%.
The Fund started its climb from the main cycle low at 7 o'clock from 24th Jun.

The AI system, in the 1141 market days analysed, identified 3 operations for the Fund. The average change in positive trades (5.7%) was higher than negative trades (-2.62%) at a ratio of 2.2 to 1 and the overall average change is 2.93%
Updated at 26th Jun - 09:36:37

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YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
2022-2.62%0.21%-0.98%-1.86%                        
20212.88%-0.29%-3.46%1.09%0.72%0.98%0.75%4.25%0.83%-2.38%2.93%0.94%-3.23%
20207.49%1.01%1.61%1.41%1.41%1.45%-1.25%0.93%-0.04%0.34%0.41%
20190.81%0.44%0.83%3.86%-1.69%-2.52%
2018
2017                                    
YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
2022-12.56%-1.58%-1.47%-0.98%-2.11%-2.79%-4.31%                        
20213.03%-0.29%-3.46%1.09%0.72%0.98%0.75%4.25%0.83%-2.38%2.93%0.94%-3.09%
20207.96%2.62%1.33%-2.44%1.61%1.41%1.41%1.45%-1.25%0.93%-0.04%0.34%0.41%
20192.97%0.54%-0.53%2.95%-0.67%1.91%0.63%0.83%3.86%-1.69%-2.96%-0.23%-1.51%
2018-4.36%-0.94%-0.56%1.19%-0.96%0.16%0.38%-0.43%0.04%-1.11%-0.14%-1.37%-0.66%
20171.07%                                    -0.09%0.51%0.65%
YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
20229.94%1.58%1.68%    0.25%2.79%4.31%                        
2021                                                    
2020            3.45%                                    
2019        0.53%    0.67%                    0.44%0.23%1.51%
20184.36%0.94%0.56%    0.96%        0.43%    1.11%0.14%1.37%0.66%
2017                                        0.09%        


Signals
DateSignalPriceProfitDays
11.04.2022Sold1044.01-2.62%47
23.02.2022Bought1072.07
16.12.2021Sold1106.1910.59%630
26.03.2020Bought1000.26
23.10.2019Sold1018.190.81%140
05.06.2019Bought1010.04