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FWD · Insurance-Linked Funds
Allianz Income and Growth Fund SGDH Dis
Allocation · SGD
SGD 7.6808
Price / NAV · 2026-08-28
-0.6%
YTD
-0.6%
1Y Ret.
1.5%
3Y Ann.
Identifiers
ISINLU0943347566
TickerNot published
InsurerFWD
CurrencySGD
Costs & Size
Expense RatioNot published
Yield8.05%
AUM$57B
Price sourceUnderlying fund NAV
Ratings & Risk
Morningstar ratingNo Morningstar rating for this share class
Insurer risk bandNot published
3Y volatilityNot published
CategoryNot published
Fund Overview
as at 2026-07-31Country exposure
UNITED STATES89.4%
LUXEMBOURG1.3%
CANADA1.0%
UNITED KINGDOM0.4%
DENMARK0.4%
AUSTRALIA0.3%
NETHERLANDS0.2%
SINGAPORE0.2%
MONACO0.1%
LIQUIDITY6.7%
Sector allocation
IT24.2%
INDUSTRIALS11.3%
FINANCIALS10.4%
COMMUNICATION SERVICES10.3%
HEALTHCARE8.0%
ENERGY4.9%
UTILITIES4.0%
REAL ESTATE4.0%
MATERIALS3.4%
OTHERS3.7%
Top holdings
NVIDIA CORP2.8%
APPLE INC2.5%
MICROSOFT CORP1.5%
JOHNSON & JOHNSON0.9%
WELLTOWER OP LLC - 144A 3.1250 07/15/290.9%
BROADCOM INC0.9%
WELLS FARGO & COMPANY - CPR7.5%
FINANCIALS0.8%
Asset mix
EQUITIES31.2%
HIGH YIELD BONDS30.7%
CONVERTIBLE BONDS30.1%
OTHERS / CASH8.0%
Composition is reported less often than price and may lag it by several weeks.
Tokio Marine funds show the insurer's own published unit price. FWD funds show the underlying fund's NAV, which differs from an insurer's unit price by their charges. Every price carries its valuation date.