The Fund aims to achieve long term capital growth. The Fund seeks to achieve this objective by maintaining the level of risk stated in the objective and by using a strategic asset allocation model designed by the ACD to deliver an optimised risk and return profile. In addition to this the ACD will tactically manage the asset allocation to enhance the return where appropriate. Over the long-term this is expected to generate capital growth whilst remaining within the anticipated level of risk stated in the objective. The Fund will invest in all permissible asset classes in a globally unconstrained manner in order to implement the strategies within the Fund.
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FAQ
Allianz RiskMaster Conservative Multi Asset Fund Shares Acc 今天的股價是多少?▼
GB00B7V78Q03.FUND 目前價格為 GBX177.15 GBX,過去 24 小時下跌了 -0.17%。在圖表上更密切關注 Allianz RiskMaster Conservative Multi Asset Fund Shares Acc 股票的表現。
Allianz RiskMaster Conservative Multi Asset Fund Shares Acc 的股票代號是什麼?▼
根據交易所不同,股票代號可能會有所差異。例如,在 交易所,Allianz RiskMaster Conservative Multi Asset Fund Shares Acc 的股票以代號 GB00B7V78Q03.FUND 進行交易。
Allianz RiskMaster Conservative Multi Asset Fund Shares Acc 的股價在上漲嗎?▼
GB00B7V78Q03.FUND 股票較上週上漲 +0%,本月上漲 +0%,過去一年 Allianz RiskMaster Conservative Multi Asset Fund Shares Acc 上漲 +6.26%。
Allianz RiskMaster Conservative Multi Asset Fund Shares Acc 位於哪個產業?▼
Allianz RiskMaster Conservative Multi Asset Fund Shares Acc從事於Other產業。
Allianz RiskMaster Conservative Multi Asset Fund Shares Acc 何時完成拆股?▼
Allianz RiskMaster Conservative Multi Asset Fund Shares Acc 最近沒有進行任何拆股。