Allianz Dynamic Multi Asset Strategy SRI 50
LU1867685825
Mixed fund with balanced profile, VaR-based risk management
LU1867685825
Mixed fund with balanced profile, VaR-based risk management
44 825,7000 HUF
Redemption Price 44 825,7000 HUFas of 30. 10. 2025
-0,04%
Redemption Price Change -0,04%as of 30. 10. 2025
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Redemption Price - Previous Day
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44 845,8400
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|---|---|
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Change
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-20,1400
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Change in %
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-0,04
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Current Redemption Price
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Previous Redemption Price
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Deviation in %
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Units In Circulation
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