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ALLIANZ FUNDS PROFILE 
All data as of 10.31.09, unless otherwise indicated. 
Allianz RCM Global Water Fund Inst (AWTIX)
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Fund Inception Date ** 03.31.08

 

Performance quoted represents past performance. Past performance is no guarantee of future results. Current performance may be lower or higher than average annual returns shown. Investment return and the principal value of an investment will fluctuate. Shares may be worth more or less than original cost when redeemed.

About this Fund Performance Portfolio Review & Outlook Literature
Change Class  
Daily Performance (as of 11.19.09)
Daily NAV and Change
YTD
Returns
Annualized
NAV
$
%
1-yr
3-yr
5-yr
10-yr
$7.93
-$0.13
-1.61%
24.29%
40.65%
-
-
-
Month-End Average Annual Returns (as of 10.31.09)
 
Allianz RCM Global Water Institutional at NAV Lipper Global Natural Resources Fund Avg.
 
1-yr
3-yr
5-yr
10-yr
Inception
Allianz RCM Global Water Institutional at NAV
15.61%
-
-
-
-14.14%
Lipper Global Natural Resources Fund Avg.
25.91%
-
-
-
-19.22%
S&P Global Water Index
18.97%
-
-
-
-11.87%
Quarter-End Average Annual Returns  (as of 09.30.09)
 
Allianz RCM Global Water Institutional at NAV
 
1-yr
3-yr
5-yr
10-yr
Inception
Allianz RCM Global Water Institutional at NAV
-3.05%
-
-
-
-13.53%
Lipper Global Natural Resources Fund Avg.
-7.18%
-
-
-
-19.21%
S&P Global Water Index
-1.31%
-
-
-
-10.83%
Calendar Year Returns  (benchmark data as of 10.31.09)
Allianz RCM Global Water Institutional at NAV Lipper Global Natural Resources Fund Avg.
 
'99
'00
'01
'02
'03
'04
'05
'06
'07
'08
'09YTD
Allianz RCM Global Water Institutional at NAV
-
-
-
-
-
-
-
-
-
-33.5%
18.2%
Lipper Global Natural Resources Fund Avg.
-
-
-
-
-
-
-
-
-
-50.7%
35.5%
S&P Global Water Index
-
-
-
-
-
-
-
-
-
-
22.8%
Lipper Ranking  (based on total return)^   (as of 10.31.09)
 
1-yr
3-yr
5-yr
10-yr
Inception
Fund Rank
91
-
-
-
9
No. of Funds in Lipper Global Natural Resources Fund Avg.
112
-
-
-
108
Quintile
5th
-
-
-
1st
Expense Ratio
 
Expense Ratio
Allianz RCM Global Water Institutional
1.560%
Growth of $10,000 (as of 10.31.09) 
Fund Statistics  (as of 10.31.09)
 
Year-End NAV
Year-End Assets
in Millions
2009 YTD*
$7.54
$56
2008
$6.38
$48

Investors should consider the investment objectives, risks, charges and expenses of this Fund carefully before investing. This and other information is contained in the Fund´s prospectus and summary prospectus, if available, which may be obtained by contacting your financial advisor, or by calling 888-877-4626. Click here for the Fund´s prospectus or summary prospectus. Please read them carefully before you invest or send money.

The daily section presents performance dating from the inception of the actual share class only.

 

The Fund's investments in non-U.S. securities may be subject to rapid and more extreme changes in value. The securities markets of many foreign countries may be smaller than the U.S. market. Equity issuers in such countries may not be subject to the same degree of securities regulation as U.S. issuers, and accounting and financial reporting standards may differ from those in the U.S. Government interference in the economy may be prevalent for many non-U.S. securities markets. These risk factors are pronounced with emerging markets securities. The Fund may also invest in initial public offerings (IPOs), which can be highly volatile. Stocks issued in IPOs have no trading histories, and information about the companies may be available for very limited periods.

 

The Fund may invest in derivatives (including options, futures, forward contracts and swap agreements) for purposes including risk management, for leverage (including borrowing), and to gain exposure to other types of investments. Derivatives involve the risk that a counterparty may not be able to comply with the derivatives contract; difficulties in liquidating a derivatives position advantageously; and the risk that the use of derivatives for leverage may increase the Fund's volatility, with larger gains or losses possible; The successful use of derivatives depends on the buyer or seller being correct about the size and timing of market movements, which are inherently uncertain. Valuation uncertainties also exist with derivatives.

 

The S&P Global Water Index is composed of 50 of the largest publicly traded companies in water-related businesses that meet specific investability requirements. The index is designed to provide liquid exposure to the leading publicly listed companies in the global water industry, from both developed markets and emerging markets.

 

Growth of $10,000 is calculated at NAV and assume that all dividend and capital gain distributions were reinvested. They do not take into account sales charges or the effect of taxes. Results are not indicative of future performance.

 

PIMCO Funds & Allianz Funds are distributed by Allianz Global Investors Distributors LLC, 1345 Avenue of the Americas, New York, NY 10105-4800, www.allianzinvestors.com, 1-888-877-4626. Investment Products: NOT FDIC INSURED | MAY LOSE VALUE | NOT BANK GUARANTEED

 


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