The Allianz Global Investors Investment Grade Bond Strategy fund (LU0706717278) signed the NAV on 22nd Jun at 1209.43 EUR with a daily change of 0.11%.

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

AI sold the Fund at 1323.27 on 14th Mar losing -0.83%.
The Fund is at the main cycle low at 6 o'clock from 18th May.

The AI system, in the 3099 market days analysed, identified 7 operations for the Fund. The average change in positive trades (13.03%) was higher than negative trades (-0.63%) at a ratio of 20.6 to 1 and the overall average change is 7.17%
Updated at 23rd Jun - 20:03:26

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YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
2022-2.51%-1.48%-0.21%-0.83%                        
2021-0.94%-0.20%-0.61%-0.08%0.36%-0.17%0.41%1.11%-0.08%-0.79%-0.75%-0.33%0.22%
202011.40%1.11%-0.29%-1.98%4.11%0.70%1.97%1.83%0.32%0.28%0.67%1.91%0.35%
20196.14%0.51%1.34%0.96%-0.07%1.77%1.69%0.73%-0.86%-0.01%-0.04%
2018-2.75%-0.06%-0.43%-0.41%0.22%-1.70%-0.32%0.82%-0.18%-0.27%-0.43%
20173.29%-0.71%1.23%-0.21%0.65%0.64%-0.19%0.79%0.38%-0.05%1.10%-0.07%-0.29%
20164.48%-0.06%0.07%2.13%0.58%0.02%0.78%1.95%0.58%-0.08%-0.86%-1.26%0.59%
2015-0.79%0.98%1.07%-0.30%-0.36%-0.83%-2.60%1.55%-0.53%-1.38%1.93%0.68%-0.92%
20149.73%1.34%1.06%0.37%1.00%1.17%0.82%0.53%1.13%0.03%0.58%0.80%0.49%
20133.61%-1.30%1.26%0.76%1.51%0.05%-2.03%0.84%0.09%0.63%1.50%0.41%-0.12%
201212.22%0.35%2.44%0.76%-0.28%-0.33%-0.25%2.64%1.53%0.76%1.54%1.19%1.30%
2011-0.19%-0.49%0.91%-0.25%1.02%0.75%-0.72%0.68%-2.05%
20103.58%0.73%0.31%1.60%0.67%-1.41%-0.36%2.08%1.66%0.06%0.23%-1.83%-0.14%
YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
2022-14.33%-1.48%-3.63%-1.25%-2.58%-1.32%-4.95%                        
2021-0.94%-0.20%-0.61%-0.08%0.36%-0.17%0.41%1.11%-0.08%-0.79%-0.75%-0.33%0.22%
20203.19%1.11%-0.29%-9.28%4.19%0.70%1.97%1.83%0.32%0.28%0.67%1.91%0.35%
20197.85%1.04%1.07%1.34%0.96%-0.07%1.77%1.69%0.73%-0.86%-0.01%-0.04%
2018-3.03%-0.06%-0.43%-0.41%0.22%-1.70%-0.02%0.82%-0.18%-0.27%-0.43%-0.67%0.08%
20173.29%-0.71%1.23%-0.21%0.65%0.64%-0.19%0.79%0.38%-0.05%1.10%-0.07%-0.29%
20164.48%-0.06%0.07%2.13%0.58%0.02%0.78%1.95%0.58%-0.08%-0.86%-1.26%0.59%
2015-0.79%0.98%1.07%-0.30%-0.36%-0.83%-2.60%1.55%-0.53%-1.38%1.93%0.68%-0.92%
20149.73%1.34%1.06%0.37%1.00%1.17%0.82%0.53%1.13%0.03%0.58%0.80%0.49%
20133.61%-1.30%1.26%0.76%1.51%0.05%-2.03%0.84%0.09%0.63%1.50%0.41%-0.12%
201216.59%4.27%2.44%0.76%-0.28%-0.33%-0.25%2.64%1.53%0.76%1.54%1.19%1.30%
2011-3.30%-0.49%0.91%-0.25%1.02%0.75%-0.72%0.68%-2.90%-3.41%2.83%-4.90%3.47%
20103.80%0.94%0.31%1.60%0.67%-1.41%-0.36%2.08%1.66%0.06%0.23%-1.83%-0.14%
YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
202211.82%    3.42%0.42%2.58%1.32%4.95%                        
2021                                                    
20208.21%        7.30%                                    
2019                                                    
20180.28%                                        0.67%    
2017                                                    
2016                                                    
2015                                                    
2014                                                    
2013                                                    
2012                                                    
20113.11%                            0.85%3.41%    4.90%    
2010                                                    


Signals
DateSignalPriceProfitDays
14.03.2022Sold1323.27-0.83%6
08.03.2022Bought1334.4
02.02.2022Sold1387.829.79%672
01.04.2020Bought1264.08
11.03.2020Sold1364.674.88%394
11.02.2019Bought1301.13
31.10.2018Sold1288.08-0.39%145
08.06.2018Bought1293.14
31.05.2018Sold1289.2333.35%2316
27.01.2012Bought966.82
29.08.2011Sold947.95-0.68%6
23.08.2011Bought954.39
10.08.2011Sold966.954.08%581
06.01.2010Bought929.02