Active investment expert, Allianz Global Investors is proficient in identifying opportunities and has insights into Asian economic prospects, which are better than emerging markets as well as other global economies. Given today’s low global interest rate environment, we provide Asian Fixed Income Strategies focusing on different types of Asian bonds to tap potential sources of income, partnering with you every step of the way to help cultivate your dream garden.
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Allianz Dynamic Asian High Yield Bond
Focus on Asian High Yield Bond to Tap into Income Opportunities
Focusing on Asian high-yield bonds, the Fund aims to seize opportunities for long term capital appreciation and income potential.

  • Aims to improve the risk return profile of the portfolio by actively managing the investment portfolio’s risk using tactical strategies like allocation to cash and investment grade bonds, etc.
  • Aims to deliver potential income, monthly payouts (yields are not guaranteed, dividends may be paid out from capital)1.
  • An environment of sufficient liquidity is providing support to regional credit markets through accommodative monetary policies, by most regional central banks, as well as global central banks, such as the European Central Bank and Bank of Japan.
1Dividend payments may, at the sole discretion of the Investment Manager, be made out of the Fund's capital or effectively out of the Fund's capital, which represents a return or withdrawal of part of the amount investors originally invested and/or capital gains attributable to the original investment. This may result in an immediate decrease in the NAV per share and the capital of the Fund available for investment in the future, and capital growth may be reduced. Dividend payments are applicable for Class AM/AMg Dis (monthly distribution) and for reference only, but not guaranteed. Positive distribution yield does not imply positive return. For details, please refer to the Fund's distribution policy disclosed in the offering documents.

Important Notice

  • The Fund aims at long-term capital appreciation and income by investing primarily in USD denominated Asian debt markets.
  • The Fund is exposed to significant risks which include investment/general market, interest rate changes, creditworthiness, emerging market, country and region and currency risks.
  • The Fund may invest in high-yield (non-investment grade and unrated) investments and convertible bonds which may subject to higher risks, such as risk of call, creditworthiness, default, interest rate changes, general market and liquidity risks and therefore may increase the risk of loss of original investment.
  • The Fund may invest in financial derivative instruments ("FDI") for efficient portfolio management (including for hedging) which may expose to higher counterparty, liquidity and market risks. The Fund will not invest extensively in FDI for investment purpose.
  • Dividend payments may, at the sole discretion of the Investment Manager, be made out of the Fund’s capital or effectively out of the Fund’s capital which represents a return or withdrawal of part of the amount investors originally invested and/or capital gains attributable to the original investment. This may result in an immediate decrease in the NAV per share and the capital of the Fund available for investment in the future and capital growth may be reduced.
  • This investment may involve risks that could result in loss of part or entire amount of investors’ investment.
  • In making investment decisions, investors should not rely solely on this material.

Allianz Flexi Asia Bond
Flexible Allocation Strategy Investing in Different Types of Asian Bonds
The focus is to capture investment opportunities in the region by flexibly allocating assets into different bonds, capturing the potential dual benefits of risk diversification and a stream of income.

  • Flexibly makes allocations to different types and regions of bonds according to the market environment with the aim of maximising total potential return.
  • Aims to deliver potential income and long-term capital appreciation, monthly payouts (yields are not guaranteed, dividends may be paid out from capital)2
  • With interest rates at record low levels around the developed countries, Asian fixed income stands out with its attractive yields.
2Dividend payments may, at the sole discretion of the Investment Manager, be made out of the Fund's capital or effectively out of the Fund's capital, which represents a return or withdrawal of part of the amount investors originally invested and/or capital gains attributable to the original investment. This may result in an immediate decrease in the NAV per share and the capital of the Fund available for investment in the future, and capital growth may be reduced. Dividend payments are applicable for Class AM Dis (monthly distribution) and for reference only, but not guaranteed. Positive distribution yield does not imply positive return. For details, please refer to the Fund's distribution policy disclosed in the offering documents.

Important Notice

  • The Fund aims at long-term capital appreciation and income, investing primarily in EUR, USD, GBP, JPY, AUD, NZD or any Asian currency denominated debt markets, with the focus on Asian countries.
  • The Fund is exposed to significant risks which include investment/general market, interest rate changes, creditworthiness, emerging market and currency (in particular Chinese Renminbi currency) risks.
  • The Fund may invest in high-yield (non-investment grade and unrated) investments and convertible bonds which may subject to higher risks, such as risk of a call, creditworthiness, default, interest rate changes, general market and liquidity risks and therefore may increase the risk of loss of original investment.
  • The Fund may invest more than 10% and up to 35% of the assets in interest-bearing securities issued or guaranteed by a non-investment grade sovereign issuer (e.g. Philippines) and is subject to higher risks of credit, concentration and default of the sovereign issuer as well as greater volatility and higher risk profile that may result in significant losses to the investors.
  • The Fund may invest in Chinese Renminbi interest-bearing securities, convertible bonds and certificates in issued outside Mainland China and assets denominated in offshore Chinese Renminbi which may subject to higher risks of liquidity, credit/solvency of its counterparties, tax policies and risk of not having sufficient RMB for currency conversion prior to investment.
  • The Fund may invest in financial derivative instruments ("FDI") for efficient portfolio management (including for hedging) which may expose to higher counterparty, liquidity and market risks. The Fund will not invest extensively in FDI for investment purpose.
  • Dividend payments may, at the sole discretion of the Investment Manager, be made out of the Fund’s capital or effectively out of the Fund’s capital which represents a return or withdrawal of part of the amount investors originally invested and/or capital gains attributable to the original investment. This may result in an immediate decrease in the NAV per share and the capital of the Fund available for investment in the future and capital growth may be reduced.
  • This investment may involve risks that could result in loss of part or entire amount of investors' investment.
  • In making investment decisions, investors should not rely solely on this material.

For more details about this series of funds, please contact your bank’s relationship manager or contact us on the hotline below:

Information herein is based on sources we believe to be accurate and reliable as at the date it was made. We reserve the right to revise any information herein at any time without notice. No offer or solicitation to buy or sell securities and no investment advice or recommendation is made herein. In making investment decisions, investors should not rely solely on this material but should seek independent professional advice.

Investment involves risks, in particular, risks associated with investment in emerging and less developed markets. Past performance is not indicative of future performance. Investors should read the offering documents for further details, including the risk factors, before investing. This material and website have not been reviewed by the HK SFC. Issued by Allianz Global Investors Asia Pacific Limited.