Allianz Global Investors: Analysis and opinions
What is Allianz?
Investment Philosophy and Strategy of Allianz Global Investors
- Active approach and research-based management: Allianz Global Investors employs an active investment management approach, which means that its investment management team conducts extensive research and seeks to identify investment opportunities that create added value. They use fundamental and quantitative analysis to evaluate assets and make informed investment decisions.
- Long-term outlook: Allianz Global Investors’ investment strategy focuses on the long-term horizon. They look for investments that can generate sustainable returns over time and avoid decisions based on short-term market movements. Their goal is to build balanced and diversified portfolios that can deliver consistent results over the long term.
- Multi-Asset Approach and Diversification – Allianz Global Investors employs a multi-asset approach to portfolio construction, which means that it looks for investment opportunities across different asset classes, such as stocks, bonds, real estate, and other financial instruments. In addition, they seek adequate diversification within each asset class to manage risk efficiently.
- Integration of ESG criteria: Allianz Global Investors has increasingly incorporated environmental, social, and governance (ESG) considerations into its investment decision-making process. They consider relevant ESG factors in assessing risks and investment opportunities and seek to invest in companies that demonstrate good practices in sustainability and corporate responsibility.
- Global focus and local expertise: Allianz Global Investors leverages its global presence and the expertise of its local teams in different markets to identify investment opportunities around the world. Their global approach allows them to take advantage of trends and investment opportunities in different regions and sectors.
Allianz Global Investors’ best investment funds by 3-year return
- Allianz Global Metals and Mining AT EUR
- Allianz Global Investors Fund – Allianz Japan Equity AT (H-EUR)
- Allianz Global Investors Fund – Allianz Best Styles Euroland Equity AT EUR
Best Allianz Global Investors Equity Funds
- Allianz Global Metals and Mining AT EUR
- Allianz Global Investors Fund – Allianz Japan Equity AT (H-EUR)
- Allianz Global Investors Fund – Allianz Best Styles Euroland Equity AT EUR
Allianz Global Investors Fund – Allianz Global Metals and Mining AT EUR
Among the funds and sectors where it invests the most, the following stand out:
Region | % | Sector | % |
Canada | 22.19 | Materials | 95.01 |
Australia | 19.61 | Industry | 3.21 |
United Kingdom | 11.60 | Energy | 1.78 |
As can be seen, most of its assets are invested in the basic materials sector, with special emphasis on Canada and Australasia.
- One-year return: 8.60%
- Annualized 3-year return: 15.20%
- Annualized 5-year return: 6.98%
The fund’s growth has been constant until 2022 when it registered a sharp drop from which it is still being put together.
Allianz Global Investors Fund – Allianz Japan Equity AT (H-EUR)
Region | % | Sector | % |
Japan | 100 | Industry | 30.87 |
Technology | 14.22 | ||
Cyclical Consumption | 12.87 |
- One-year return: 26.51%
- Annualized 3-year return: 15.36%
- Annualized 5-year return: 6.15%
Regarding the risk and volatility of the fund, they are as follows:
Allianz Global Investors Fund – Allianz Best Styles Euroland Equity AT EUR
Among the funds and sectors where it invests the most, the following stand out:
Region | % | Sector | % |
Eurozone | 97.41 | serv. financial | 15.52 |
Developed Asia | 1.54 | Cyclical Consumption | 14.44 |
USA | 0.94 | Industry | 14.03 |
- One-year return: 24.65%
- Annualized 3-year return: 11.00%
- Annualized 5-year return: 4.62%
Best Mixed Income Funds from Allianz Global Investors
- Allianz Dynamic Multi Asset Strategy SRI 75 AT EUR
- Allianz Dynamic Multi Asset Strategy SRI 50 AT EUR
- Allianz Income and Growth A (H2-EUR)
Allianz Dynamic Multi Asset Strategy SRI 75 AT EUR
Region | % | Sector | % |
USA | 42.28 | Technology | 19.07 |
Eurozone | 19.75 | Health | 16.29 |
Japan | 9.22 | serv. financial | 13.41 |
- One-year return: 4.89%
- Annualized 3-year return: 9.99%
- Annualized 5-year return: 5.41%
Regarding the risk and volatility of the fund, they are as follows:
Allianz Dynamic Multi Asset Strategy SRI 50 AT EUR
Region | % | Sector | % |
USA | 42.69 | Technology | 19.14 |
Eurozone | 17.13 | Cyclical Consumption | 16.23 |
Canada | 9.19 | Health | 13.49 |
- One-year return: 4.37%
- Annualized 3-year return: 4.81%
- Annualized 5-year return: 2.68%
Regarding the risk and volatility of the fund, they are as follows:
Allianz Income and Growth A (H2-EUR)
Region | % | Sector | % |
USA | 99.59 | Technology | 29.88 |
Eurozone | 0.21 | Cyclical Consumption | 15.16 |
Canada | 0.08 | Health | 12.85 |
- One-year return: 7.93%
- Annualized 3-year return: 2.95%
- Annualized 5-year return: 2.86%
Regarding the risk and volatility of the fund, they are as follows:
Best Fixed Income Funds from Allianz Global Investors
- Allianz Renminbi Fixed Income CT (H2-EUR)
- Allianz US Short Duration High Income Bond AT (H2-EUR)
- Allianz Global Floating Rate Notes Plus AT (H2-EUR)
Allianz Renminbi Fixed Income CT (H2-EUR)
His main positions include the following:
Position | % |
China (People’s Republic Of) 2.64% | 27.40 |
China (People’s Republic Of) 2.88% | 18.28 |
China (People’s Republic Of) 2.79% | 9.16 |
- One-year return: 1.75%
- Annualized 3-year return: 3.51%
- Annualized 5-year return: 0.59%
Regarding the risk and volatility of the fund, they are as follows:
Allianz US Short Duration High Income Bond AT (H2-EUR)
Position | % |
Connect Finco SARL | 3.16 |
Uber Technologies Inc. 8% | 3.01 |
New Fortress Energy Inc. 6.75% | 2.98 |
- One-year return: 2.47%
- Annualized 3-year return: 2.88%
- Annualized 5-year return: 0.37%
Regarding the risk and volatility of the fund, they are as follows:
Allianz Global Floating Rate Notes Plus AT (H2-EUR)
Position | % |
GA Global Funding Trust 5.91323% | 2.22 |
Verizon Communications Inc. 5.61% | 2.19 |
Societe Generale SA 5.66845% | 2.19 |
- One-year return: 1.46%
- Annualized 3-year return: 1.09%
- Annualized 5-year return: -0.49%
Regarding the risk and volatility of the fund, they are as follows: