Allianz NACM Emerging Markets Opp D 2187 Atlantic Street Stamford, CT 06902 Map
Phone: 800-498-5413
| Category: | Diversified Emerging Mkts | | Fund Family: | Allianz Funds | | Net Assets: | 11.68M | | Year-to-Date Return: | -56.39% | | Yield: | 0.43% | | Morningstar Rating: | N/A | | Fund Inception Date: | 21-Aug-06 |
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Kunal Ghosh
Lead Manager since
03-Jul-07 | | | Kunal Ghosh joined the firm in 2006, and has portfolio management responsibilities on our international and global systematic products. Prior to joining the firm, Kunal was a research associate and then portfolio manager for Barclays Global Investors. Before that, he was a quantitative analyst for the Cayuga Hedge Fund. He has five years of investment experience. |
| Min Initial Investment: | $5,000 | | Min Initial Investment, IRA: | $0 | | Min Initial Investment, AIP: | $0 | | Min Subsequent Investment: | $100 | | Min Subsequent Investment, IRA: | $0 | | Min Subsequent Investment, AIP: | $0 |
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| The investment seeks maximum long-term capital appreciation. The fund invest at least 80% of assets in the securities of companies that are tied economically to countries with emerging securities market. The fund normally invests at least 75% of assets in common stocks. The fund may also invest in other equity securities, such as preferred stocks, warrants and debt securities convertible into common stocks, and in equity-linked securities and fixed-income securities. It may invest up to 20% of its net assets in securities of U.S. companies. |
| Last Dividend
(20-Dec-07):
| 0.07 | | Last Cap Gain
(13-Dec-07):
| 1.50 | | Annual Holdings Turnover
| 194.00% | | Average for Category:
| 86.29% |
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| Expense | AOTDX | Category Avg | | Total Expense Ratio: | 1.77%
| 1.78% | | Max 12b1 Fee: | 0.25%
| N/A | | Max Front End Sales Load: | 0.00%
| 5.50% | | Max Deferred Sales Load: | 0.00%
| 2.47% | | 3 Yr Expense Projection*: |
$609 | $729 | | 5 Yr Expense Projection*: |
$1,047 | $1,144 | | 10 Yr Expense Projection*: |
$2,264 | $2,283 |
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