Allianz Global Investors Fund - Allianz Global Aggregate Bond - W (H-) Fonds
869,07
EUR
-2,02
EUR
-0,23
%
NAV
Werbung
Zusammensetzung nach Ländern
Chart
Tabelle
| Name | Anteil |
|---|---|
| United States | 60,18% |
| United Kingdom | 11,68% |
| China | 8,42% |
| Japan | 7,99% |
| Canada | 7,65% |
| Spain | 6,16% |
| New Zealand | 3,48% |
| Ireland | 3,15% |
| South Korea | 2,94% |
| Germany | 2,77% |
| Italy | 2,26% |
| Switzerland | 2,02% |
| Peru | 1,75% |
| France | 1,54% |
| Australia | 1,29% |
| Indonesia | 1,17% |
| Austria | 1,04% |
| Mexico | 0,96% |
| Portugal | 0,91% |
| Denmark | 0,89% |
| Belgium | 0,88% |
| Sweden | 0,87% |
| Thailand | 0,52% |
| Netherlands | 0,48% |
| Poland | 0,45% |
| Norway | 0,41% |
| Malaysia | 0,33% |
| Brazil | 0,26% |
| Singapore | 0,19% |