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LU1293640337   AGIF Allianz Euro Bd ST 1-3 Plus WT EUR C  
Last NAV19/04/20241 000.77 EUR  -0.07  % 
Latest Price
DateTimeCurrencyNAVSubscriptionRedemption
19/04/202400:00EUR1 000.771 000.771 000.77
Nav Information
Last NAV date19/04/2024
NAV calculation frequencyDaily
CurrencyEUR
Previous NAV1 001.45 EUR
18/04/2024
Variation %-0.07%
Number of shares/units outstanding17 790.32
Total net assets17 803 952.83 EUR
ADDI-
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Share of the total fund assets-
Real estate rate-
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EUSD
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Growth chart
   
  Incorporating