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Tokio Marine · Insurance-Linked Funds
Allianz Income and Growth Acc USD
Allocation · Moderate Allocation · USD
USD 31.0014
Price / NAV · 2026-08-28
6.6%
YTD
10.4%
1Y Ret.
11.4%
3Y Ann.
Identifiers
ISINLU0689472784
TickerDAAU
InsurerTokio Marine
CurrencyUSD
Costs & Size
Expense Ratio1.56%
Yield0.00%
AUM$59B
Price sourceTokio Marine fund centre
Ratings & Risk
Morningstar rating★★★★★
Insurer risk bandBalanced (3/4)
3Y volatility9.10%
CategoryModerate Allocation
Fund Overview
as at 2026-07-31Country exposure
United States98.9%
Switzerland0.7%
Canada0.1%
Others0.1%
Japan0.1%
Taiwan0.0%
Mexico0.0%
United Kingdom0.0%
Netherlands0.0%
South Korea0.0%
Sector allocation
Technology36.7%
Healthcare11.7%
Industrials11.7%
Financial Services11.4%
Consumer Cyclical9.9%
Consumer Defensive4.3%
Communication Services4.3%
Energy3.3%
Utilities2.8%
Real Estate2.6%
Top holdings
Nvidia Corp2.8%
Apple Inc2.5%
Amazon.Com Inc1.7%
Microsoft Corp1.4%
Alphabet Inc Prf Perpetual Usd 1000 - 1/20Th Int Ser A1.3%
Welltower Op Llc 3.125%0.9%
Johnson & Johnson0.9%
Broadcom Inc0.9%
Live Nation Entertainment, Inc. 2.875%0.9%
Wells Fargo & Co 7 1/2 % Non Cum Perp Conv Pfd Shs -A- Series -L-0.8%
Asset mix
Stock33.2%
Bond32.1%
Other30.1%
Cash4.6%
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.