insights. Environmental, Social and Governance (ESG) strategies consider factors beyond traditional financial information to select securities or eliminate exposure which could result in relative investment performance deviating from other strategies or broad market benchmarks. Allianz Europe Equity Growth Our core beliefs Go anywhere approach
Allianz Europe Equity Growth Select | Isin LU0920782991 | Fund for large-capitalized growth stocks from Europe | Role Individual Investor Important information Your access to this website is subject to the regulations of the Nordic countries and to the legal terms and general conditions of access to this site.
Allianz Europe Equity Growth | Isin LU0264555375 | Fund for European growth stocks | Role Individual Investor Please select your country/location and role
Allianz Europe Equity Growth | Isin LU0678959247 | Fund for European growth stocks | Role Institutional Investor Please select your country/location and role
Allianz Europe Equity Growth Select | Isin LU1288334391 | Fund for large-capitalized growth stocks from Europe | Role Individual Investor Important information Your access to this website is subject to Swiss regulation and to the legal terms and general conditions of access to this site.
Allianz Europe Equity Growth Select | Isin LU0920839346 | Fund for large-capitalized growth stocks from Europe | Role Professional Investor
Allianz Europe Equity Growth Select | Isin LU1288334391 | Fund for large-capitalized growth stocks from Europe | Role Adviser & Wealth Manager
mekT36. Thorsten Winkelmann Thorsten Winkelmann is a Portfolio Manager and Managing Director at Allianz Global Investors, having joined the company in 2001. Thorsten leads the AllianzGI Global Growth team as CIO Global Growth, and is the Lead Portfolio Manager of Allianz Global Equity Growth, and the Co-Lead Portfolio Manager for several flagship European Growth strategies. Prior to taking over the Growth franchise in 2009, Thorsten was a Portfolio Manager with both the European Equity Core team and the Multi-Asset team, where he was responsible for managing the Equity portions of European Balanced products. He has 24 years of investment industry experience, and a Master’s Degree in Economics from the University of Bonn.
Allianz Europe Equity Growth Select Allianz Europe Equity Growth Select Fund brings investors proven expertise from this renowned authority of European equities. The fund offers a high conviction, active portfolio built upon a highly disciplined, pure bottom-up investment process which has been in place. The Fund is one of the few pure growth funds available which invests in European companies that are largely able to generate growth independently of the state of the economic cycle over a three-to-five year time frame, through the underlying success of the business. The Portfolio Manager, Thorsten Winkelmann remains true to style throughout all market conditions, no matter how challenging the short-term market environment becomes. This approach often creates the best long-term opportunities for the Fund and our investors. Objective: Long term capital growth The Allianz Europe Equity Growth Franchise takes a disciplined and long-term approach to structural growth investing, looking beyond macroeconomic factors and market volatility to companies that grow regardless of their environment. The strategy boasts an award-winning and consistent track record of outperformance across multiple funds within the franchise2. Maintaining a low portfolio turnover means that stock picking is key, with a focus on Growth, Quality and Valuation. Quality: The investment team selects companies with sustainable, long-term competitive advantages and high barriers to entry, that are able to compound their returns over the long term or even increasing profitability. Growth: The investment team identifies stocks with structurally above average earnings and cash flow growth, that are consistently able to deliver high returns on capital. Valuation: The Growth team looks for companies with significant remaining upside potential over our 3-5 year time frame. Fund Manager profile Thorsten Winkelmann has 21 years of industry experience and holds a degree in Economics from the University of Bonn. "It's not just about having this high profitability here and now - it's about sustaining that profitability, or increasing it, over the years to come." Thorsten Winkelmann Citywire ratings as at 31/08/2018 (Thorsten Winkelmann A). Please note that a ranking, rating or reward provides no indicator of future performance, and is not constant over time. Thorsten Winkelmann Head of European Growth Equity and Co-Lead Portfolio Manager Thorsten is a senior portfolio manager and managing director, having joined the firm in 2001. As a member of the European Equities team, he is leader of the Growth Investment Style team and the lead portfolio manager of the flagship Europe Equity Growth strategies. Prior to taking over the Europe Equity Growth Franchise in 2009, he was a portfolio manager with the European Equity Core team and the Multi-Asset team, where he was responsible for managing the equity portions of European balanced products. Thorsten has 21 years of investment industry experience and holds a Master’s degree in economics from the University of Bonn. 1) A ranking, a rating or an award provides no indicator of future performance and is not constant over time 2) A performance of the strategy is not guaranteed and losses remain possible Investing involves risk. The value of an investment and the income from it may fall as well as rise and investors might not get back the full amount invested. Allianz Europe Equity Growth Select is a sub-fund of Allianz Global Investors Fund SICAV, an open-ended investment company with variable share capital organised under the laws of Luxembourg. The value of the units/shares which belong to the Unit/Share Classes of the Sub-Fund that are denominated in the base currency may be subject to a strongly increased volatility. The volatility of other Unit/Share Classes may be different. Past performance is not a reliable indicator of future results. If the currency in which the past performance is displayed differs from the currency of the country in which the investor resides, then the investor should be aware that due to the exchange rate fluctuations the performance shown may be higher or lower if converted into the investor’s local currency. This is for information only and not to be construed as a solicitation or an invitation to make an offer, to conclude a contract, or to buy or sell any securities. The products or securities described herein may not be available for sale in all jurisdictions or to certain categories of investors. The investment opportunities described herein do not take into account the specific investment objectives, financial situation, knowledge, experience or specific needs of any particular person and are not guaranteed. The views and opinions expressed herein, which are subject to change without notice, are those of the issuer companies at the time of publication. The data used is derived from various sources, and assumed to be correct and reliable, but it has not been independently verified; its accuracy or completeness is not guaranteed and no liability is assumed for any direct or consequential losses arising from its use, unless caused by gross negligence or wilful misconduct. The conditions of any underlying offer or contract that may have been, or will be, made or concluded, shall prevail. For a free copy of the sales prospectus, incorporation documents, daily fund prices, key investor information, latest annual and semi-annual financial reports, contact the management company Allianz Global Investors GmbH in the fund’s country of domicile, Luxembourg, or the issuer at the address indicated below or Please read these documents, which are solely binding, carefully before investing. This is a marketing communication issued by Allianz Global Investors GmbH, an investment company with limited liability, incorporated in Germany, with its registered office at Bockenheimer Landstrasse 42-44, 60323 Frankfurt/M, registered with the local court Frankfurt/M under HRB 9340, authorised by Bundesanstalt für Finanzdienstleistungsaufsicht ( Allianz Global Investors GmbH has established branches in the United Kingdom, France, Italy, Spain, Luxembourg and the Netherlands. Contact details and information on the local regulation are available here ( This communication has not been prepared in accordance with legal requirements designed to ensure the impartiality of investment (strategy) recommendations and is not subject to any prohibition on dealing before publication of such recommendations. The duplication, publication, or transmission of the contents, irrespective of the form, is not permitted; except for the case of explicit permission by Allianz Global Investors GmbH.
Allianz Europe Equity Growth Select Kup Fundusz Akcyjny Allianz Europe Equity Growth Select Allianz SFIO akcji europejskich rynków rozwiniętych 14 15 Ranking KupFundusz 1 12M Ranking AOL 12M 4 36M Ranking AOL 36M Sprawdź metodologię Wyniki funduszu od do 1M 3M 12M 36M 60M YTD MAX Wybierz okres od do Aktualne stopy zwrotu Na dzień 1M 3M 6M YTD 12M 24M 36M 48M 60M Stopy zwrotu +14,84% -6,68% -14,61% -24,26% -18,09% +6,79% +22,40% +19,38% +26,66% Średnia dla grupy +4,76% -4,42% -9,94% -13,51% -9,31% +9,90% +13,59% +10,66% +15,00% Pozycja w grupie 1/15 13/15 11/15 13/14 11/13 9/13 1/10 1/10 1/7 Stopy zwrotu w pełnych latach kalendarzowych 2017 2018 2019 2020 2021 Stopy zwrotu +12,60% -16,66% +35,38% +11,60% +29,91% Średnia dla grupy +10,20% -14,77% +25,57% +4,74% +16,39% Pozycja w grupie 5/12 11/13 2/14 3/13 1/14 Metryka funduszu Nazwa Towarzystwa TFI Allianz Polska Data uruchomienia Minimalna pierwsza wpłata 500,00 PLN Minimalna kolejna wpłata 100,00 PLN Aktualna wartość jednostki 137,30 PLN ( Wartość aktywów 34,27 mln PLN ( Rzeczywista opłata stała za zarządzanie w skali roku pobierana przez fundusz inwestycyjny 2,00% Opłata zmienna za zarządzanie - Zarządzający Grzegorz Prażmo (od Adam Łukojć (od Michał Staszak (od Kamil Kowalewski (od Profil inwestycyjny Nazwa grupy akcji europejskich rynków rozwiniętych Obszar geograficzny inwestycji Europa Poziom ryzyka Ryzyko 6/7 Bardzo wysokie Benchmark fundusz nie posiada benchmarku Polityka inwestycyjna Fundusz inwestuje co najmniej 60% aktywów w tytuły funduszu Allianz Europe Equity Growth Select. Pozostała część aktywów może być inwestowana w dłużne i udziałowe papiery wartościowe, instrumenty rynku pieniężnego, inne fundusze oraz depozyty bankowe. Fundusz źródłowy inwestuje w akcje i inne papiery udziałowe spółek o dużym potencjale wzrostu i minimalnej kapitalizacji rynkowej 5 mld EUR, mających siedzibę w krajach członkowskich Unii Europejskiej, w Norwegii lub na Islandii. Struktura aktywów na dzień 94,75%Ryzykowne 0,00%Akcje krajowe 0,00%Akcje zagraniczne 94,75%Tytuły uczestnictwa funduszy akcyjnych 0,00%Bezpieczne 0,00%Papiery skarbowe 0,00%Papiery gwarantowane przez Skarb Państwa 0,00%Papiery nieskarbowe 0,00%Depozyty 0,00%Tytuły uczestnictwa funduszy dłużnych 1,57%Pozostałe 1,57%Pozostałe 0,00%Tytuły uczestnictwa funduszy mieszanych Wróć do listy funduszy
186,06EUR -1,90EUR -1,01% WKN: A1T69S / ISIN: LU0908554255 Depot/Watchlist WKN: A1T69S / ISIN: LU0908554255 Werbung Werbung Werbung Den Verkaufsprospekt und die wesentlichen Anlegerinformationen können Sie jederzeit in deutscher Sprache als PDF auf der HANSAINVEST Webseite herunterladen oder per E-Mail an BIT Capital anfordern. Die Fonds weisen aufgrund ihrer Zusammensetzung und des möglichen Einsatzes von Derivaten eine erhöhte Volatilität auf. Die bisherige Wertentwicklung ist kein Indikator für die zukünftige Wertentwicklung. Kursverluste sind möglich. 30,61€ Aktueller Anteilspreis Der Fonds wurde am 2. September 2021 zu einem Anteilspreis von 100€ aufgelegt. Den Verkaufsprospekt und die wesentlichen Anlegerinformationen können Sie jederzeit in deutscher Sprache als PDF auf der HANSAINVEST Webseite herunterladen oder per E-Mail an BIT Capital anfordern. Die Fonds weisen aufgrund ihrer Zusammensetzung und des möglichen Einsatzes von Derivaten eine erhöhte Volatilität auf. Die bisherige Wertentwicklung ist kein Indikator für die zukünftige Wertentwicklung. Kursverluste sind möglich. Den Verkaufsprospekt und die wesentlichen Anlegerinformationen können Sie jederzeit in deutscher Sprache als PDF auf der HANSAINVEST Webseite herunterladen oder per E-Mail an BIT Capital anfordern. Die Fonds weisen aufgrund ihrer Zusammensetzung und des möglichen Einsatzes von Derivaten eine erhöhte Volatilität auf. Die bisherige Wertentwicklung ist kein Indikator für die zukünftige Wertentwicklung. Kursverluste sind möglich. 54,21€ Aktueller Anteilspreis Der Fonds wurde am 3. Mai 2021 zu einem Anteilspreis von 100€ aufgelegt. Den Verkaufsprospekt und die wesentlichen Anlegerinformationen können Sie jederzeit in deutscher Sprache als PDF auf der HANSAINVEST Webseite herunterladen oder per E-Mail an BIT Capital anfordern. Die Fonds weisen aufgrund ihrer Zusammensetzung und des möglichen Einsatzes von Derivaten eine erhöhte Volatilität auf. Die bisherige Wertentwicklung ist kein Indikator für die zukünftige Wertentwicklung. Kursverluste sind möglich. Wichtige Kennzahlen Fondsgesellschaft Allianz Global Investors GmbH Währung EUR Ausgabeaufschlag regulär 5,00% Ausgabeaufschlag bei zero 0,00% Total Expense Ratio (TER) 1,85% Benchmark S&P Europe Large Cap Growth Fondsvolumen 768,62 Mio. EUR Ausschüttungsart Ausschüttend Perf. 1 J (mehr) -20,63% Vola 1 J (mehr) 24,04% Capture Ratio Up 123,72 Capture Ratio Down 179,85 Batting Average 33,33% Alpha - Beta 1,47 R2 88,16% Risk/Return - zur Fonds-Suche Allianz Global Investors Fund - Allianz Europe Equity Growth Select A Fonds aktueller Kurs FSE Kurs 186,77 EUR 2,96 EUR 1,61% Kurszeit 16:27:29 Kursdatum Eröffnung 184,78 Vortag 186,77 Tagesvolumen (Stück) 0 Tagestief 184,78 Tageshoch 187,71 52 W. Tief 162,11 ( 52 W. Hoch 259,09 ( Werbung Rating Allianz Global Investors Fund - Allianz Europe Equity Growth Select A Fonds Gebühren, Stammdaten und Dokumente des Allianz Global Investors Fund - Allianz Europe Equity Growth Select A Fonds Gebühren + Konditionen Ausgabeaufschlag regulär 5,00% Ausgabeaufschlag bei zero 0,00% Verwaltungsgebühr - Depotbankgebühr - Managementgebühr 1,80% Rücknahmegebühr - Anteilsklassenvolumen 155,99 Mio. EUR Fondsvolumen 768,62 Mio. EUR Mindestanlage - Dokumente powered by: Stammdaten Name Allianz Global Investors Fund - Allianz Europe Equity Growth Select A EUR Fonds ISIN LU0908554255 WKN A1T69S Fondsgesellschaft Allianz Global Investors GmbH Benchmark S&P Europe Large Cap Growth Ausschüttungsart Ausschüttend Manager Thorsten Winkelmann, Andreas Hildebrand, Giovanni Trombello Domizil Luxembourg Fondskategorie Aktien Auflagedatum Geschäftsjahr Sparplanfähig? Nein VL-fähig? Nein Depotbank State Street Bank International GmbH, Luxembourg Branch Zahlstelle State Street Bank International GmbH, Luxembourg Branch Riester Fonds Nein Werbung Fidelity Sustainable Consumer Brands Fund Starke Marken haben Strahlkraft für die Verbraucher, verfügen über wertvolles geistiges Eigentum, können Preise durchsetzen und sind von Wettbewerbern schwerer angreifbar. Doch damit sie ihre unsichtbaren „Burggräben“ verteidigen können, kommt ein entscheidender Aspekt hinzu: die Nachhaltigkeit. Denn immer mehr Menschen legen großen Wert darauf, von verantwortungsbewusst handelnden Unternehmen zu kaufen. In genau solche gut positionierte, nachhaltig ausgerichtete Markenanbieter investiert der Fidelity Sustainable Consumer Brands Fund. Fidelity Sustainable Consumer Brands Fund Anlagepolitik des Allianz Global Investors Fund - Allianz Europe Equity Growth Select A Fonds Anlagepolitik So investiert der Allianz Global Investors Fund - Allianz Europe Equity Growth Select A EUR Fonds: Der Fonds zielt darauf ab, hauptsächlich durch Positionen an europäischen Aktienmärkten auf langfristige Sicht Kapitalwachstum zu Schwerpunkt liegt auf großen Unternehmen, deren Wachstumspotenzial sich nach unserer Einschätzung nicht im aktuellen Kursniveau investieren mindestens 75 % des Fondsvermögens direkt in Aktien und vergleichbare Papiere von Emittenten mit Sitz in einem Mitgliedstaat der EU, in Norwegen oder in oben genannten Vermögenswerte der Teilfonds müssen Wachstumswerte mit einer Mindestmarktkapitalisierung von 5 Milliarden EUR zum Zeitpunkt des Kaufs sein. Ferner können wir auch in andere Aktien und vergleichbare Papiere legen die Erträge im Fonds wieder Allianz Global Investors Fund - Allianz Europe Equity Growth Select A EUR Fonds gehört zur Kategorie "Aktien".mehr Performance und Kennzahlen des Allianz Global Investors Fund - Allianz Europe Equity Growth Select A Fonds Performance 6 Monate -13,43% 1 Jahr -20,63% 3 Jahre 24,81% 5 Jahre 32,69% 10 Jahre - mehr Volatilität 6 Monate 1 Jahr 24,04% 3 Jahre 19,99% 5 Jahre 18,19% 10 Jahre mehr Sharpe Ratio 6 Monate 1 Jahr -1,10 3 Jahre 0,33 5 Jahre 0,30 10 Jahre mehr Aktuelles zum Allianz Global Investors Fund - Allianz Europe Equity Growth Select A Fonds News zum Fonds: Allianz Global Investors Fund - Allianz Europe Equity Growth Select A EUR Fonds Keine Nachrichten verfügbar. Zusammensetzung des Allianz Global Investors Fund - Allianz Europe Equity Growth Select A Fonds Zusammensetzung nach Instrumenten mehr Zusammensetzung nach Branchen mehr Passende Fonds zum Allianz Global Investors Fund - Allianz Europe Equity Growth Select A Fonds Passende FondsNutzer, die sich für Allianz Global Investors Fund - Allianz Europe Equity Growth Select A EUR Fonds interessieren, interessieren sich auch für diese Fonds. Fonds von Allianz Global Investors Über Allianz Global Investors Fund - Allianz Europe Equity Growth Select A Fonds Der Allianz Global Investors Fund - Allianz Europe Equity Growth Select A Fonds (ISIN: LU0908554255, WKN: A1T69S) wurde am von der Fondsgesellschaft Allianz Global Investors GmbH aufgelegt und fällt in die Kategorie Aktien. Das Fondsvolumen beträgt 768,62 Mio. EUR und der Fonds notierte zuletzt am um 16:27:29 Uhr bei 186,77 in der Währung EUR. Das Fondsmanagement wird von Thorsten Winkelmann, Andreas Hildebrand, Giovanni Trombello betrieben. Bei einer Anlage in Allianz Global Investors Fund - Allianz Europe Equity Growth Select A Fonds sollte die Mindestanlage von 0,00 EUR berücksichtigt werden. Der Ausgabeaufschlag ist auf 5,00% gesetzt. Im letzten Jahr betrug das Kursmaximum 259,09 EUR und das Kursminimum 162,11 EUR. Insgesamt betrug die Performance in diesen 12 Monaten -20,63% und die Volatilität lag bei 24,04%. Die Ausschüttungsart des Allianz Global Investors Fund - Allianz Europe Equity Growth Select A Fonds ist Ausschüttend. Der Fonds orientiert sich zum Vergleich an S&P Europe Large Cap Growth.
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allianz europe equity growth select