AllianzGI Global Managed Volatility Fund

U.S. News evaluated 304 World Stock Funds. Our list highlights the top-rated funds for long-term investors based on the ratings of leading fund industry researchers.

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The fund has returned 13.91 percent over the past year.

Trailing Returns Updated 06.30.2014
Year to date 7.9%
1 Year 13.9%
3 Years (Annualized) N/A
5 Years (Annualized) N/A
10 Years (Annualized) N/A

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The investment seeks long-term capital appreciation. The fund seeks to achieve its investment objective by creating a portfolio of global equities that manages overall portfolio volatility. It normally invests primarily in equity securities of companies located both in the U.S. and outside of the U.S., and will not invest the greater of: (i) 50% of its net assets, or (ii) a portion of its net assets equal to 5% more than the applicable country's weight in the MSCI World Index, in companies within any single country (including the U.S.).


Fees are Above Average compared to funds in the same category.
AllianzGI Global Managed Volatility Fund has an expense ratio of 0.90 percent.

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Risk is N/A compared to funds in the same category according to Morningstar.

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