Allianz Global Floating Rate Notes Plus
LU1992137254 | A2PJZB
LU1992137254 | A2PJZB
970,7100 DKK
Redemption Price 970,7100 DKKas of 2/4/2026
-0,03%
Redemption Price Change -0,03%as of 2/4/2026
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Redemption Price - Previous Day
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970,9600
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|---|---|
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Redemption Price Change
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-0,2500
|
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Redemption Price Deviation
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-0,03%
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Currency
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Offering Price
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Redemption Price
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Redemption Price Prev Day
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Redemption Price Change
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Redemption Price Change Pct
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Units In Circulation
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Share Class Assets
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Fund Assets Fund
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Net Inflow Day
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