


The Allianz RiskMaster Conservative Fund aims to achieve long term capital growth by maintaining a balance between investments which are considered lower to medium risk and those which are considered higher risk. The fund seeks to achieve this objective by actively investing in a broad range of asset classes across all economic sectors worldwide, and managing the risks associated with investing in these assets by utilising a broad range of risk management techniques.
| Latest Price | 177.15p | IMA Sector | Volatility Managed |
|---|---|---|---|
| Currency | British Pound | Launch Date | 15/05/2012 |
| Fund Size | n/a | Fund Manager | Allianz RiskMaster multi-asset team |
| ISIN | GB00B7V78Q03 | Dividend | 0.00p |
| Date | 18-Aug-2025 |
|---|---|
| NAV | 177.15p |
| Currency | GBP |
| Change | -0.31p |
| % | -0.17% |
| YTD change | 10.13p |
| YTD % | 6.07% |
| Fund Inception | 15/05/2012 |
|---|---|
| Fund Manager | Allianz RiskMaster multi-asset team |
| TER | 1.41 (30-Apr-2013) |
| Minimum Investment | |
|---|---|
| Initial | n/a |
| Additional | n/a |
| Savings | n/a |
| Charges | |
|---|---|
| Initial | n/a |
| Annual Mang't | 0.75% |
| Exit | n/a |
| Name | % |
|---|---|
| No risk data available. | |
You are here: research