Allianz Floating Rate Notes Plus AT Cap EUR

Rating and Score  (On 30/06/2026)
Rating
FIDA
Rating
ESG
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Payments Accumulation plan
72-132-192 vers. mens. - min. 100 EUR aumentabili di 50 EUR o multipli - primo vers. almeno 12 rate
Transaction currency
-
Single payment
Initial payment
0.00
Following payment
0.00
Degree of risk
1
2
3
4
5
6
7
Low Risk
High Risk
The risk category (SRI) corresponds to what is published by the issuing company in the fund's official KID.
The indicated risk category is not guaranteed and may change over time.
Being in the lowest category does not guarantee a risk-free investment.
TER
TER date
TER value
16/04/2026
0.59%
23/03/2026
0.59%
30/01/2026
0.59%
30/09/2025
0.58%
28/03/2025
0.58%
14/02/2025
0.58%
28/10/2024
0.57%
18/10/2024
0.38%
16/02/2024
0.38%
15/11/2023
0.54%
29/09/2023
0.54%
30/05/2023
0.54%
09/03/2023
0.53%
30/09/2021
0.31%
30/09/2020
0.31%
30/09/2019
0.31%
30/09/2018
0.30%
11/08/2016
0.50%
Division
Instrument
ISIN Code
Start Date placement
FIDA Rating
Factsheet
Kiid
Portfolio
Retail ita / institutional
Allianz Floating Rate Notes Plus AT Cap EUR
LU1089088741
11/08/2016
-
-
-
Retail ita
LU1451583543
22/07/2016
-
-
Retail ita
LU1573296008
17/03/2017
-
-
Retail ita
LU1573296263
17/03/2017
-
-
Retail ita
LU1383852487
02/09/2016
Retail ita
LU1089089392
08/12/2016
-
-
Institutional
LU1278851099
03/09/2015
-
-
Institutional
LU1629312619
26/06/2017
-
Retail ita
LU1677194497
10/10/2017
-
-
Retail ita
LU2754996176
23/02/2024
-
-
-
Institutional
LU2792126901
15/04/2024
-
-
-
Retail ita
LU2799986851
15/05/2024
-
-
-
Retail ita
LU1089089129
23/01/2015
-
-
Institutional
LU1100107371
23/09/2014
Retail ita
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