Allianz Emerging Markets Short Duration Bond IT Fonds
1.324,54
USD
+0,07
USD
+0,01
%
NAV
Werbung
Zusammensetzung nach Ländern
Chart
Tabelle
| Name | Anteil |
|---|---|
| United States | 8,89% |
| Mexico | 7,88% |
| Turkey | 6,36% |
| Colombia | 6,33% |
| India | 6,11% |
| South Africa | 5,25% |
| Brazil | 4,97% |
| Indonesia | 4,39% |
| China | 4,35% |
| United Arab Emirates | 3,54% |
| Guatemala | 3,11% |
| Nigeria | 3,08% |
| United Kingdom | 2,90% |
| Hong Kong | 2,76% |
| Peru | 2,17% |
| Egypt | 2,15% |
| Mongolia | 2,14% |
| Israel | 2,09% |
| Macao | 2,09% |
| Uzbekistan | 2,07% |
| Côte d'Ivoire | 2,06% |
| Jordan | 2,04% |
| Romania | 2,01% |
| Serbia | 1,96% |
| Costa Rica | 1,81% |
| Bahrain | 1,40% |
| Argentina | 1,26% |
| Dominican Republic | 1,26% |
| Hungary | 1,11% |
| Singapore | 1,06% |
| El Salvador | 1,05% |
| Iraq | 1,05% |
| Morocco | 0,77% |
| Thailand | 0,67% |
| Chile | 0,53% |
| Zambia | 0,50% |
| Cayman Islands | 0,27% |
| Czechia | 0,26% |
| Paraguay | 0,26% |
| Angola | 0,25% |
| Saudi Arabia | 0,25% |
| Oman | 0,22% |