Allianz Dynamic Asian High Yield Bd AM (USD) Logo
LU1720048815

Allianz Dynamic Asian High Yield Bd AM (USD)

Dividend yield TTM
6.27%
€0.25/unit
Dividend growth (CAGR 5Y)
-13.79%
Next dividend
The next dividend is expected in September.

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Historical dividends

In 2026, Allianz Dynamic Asian High Yield Bd AM (USD) has already paid €0.17 in dividends. The last payout was in August.

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Dividend metrics Metrics

All metrics All
Metric Value
Price
€3.97
Yield
6.27%
Interval
Monthly
CAGR 3Y
9.64%
CAGR 5Y
13.79%
CAGR 10Y
-

All dividend data

So far in 2026, €0.17 per unit has been distributed. In 2025, Allianz Dynamic Asian High Yield Bd AM (USD) distributed €0.24. The dividend yield is currently 6.27%, and distributions have decreased by 9.64% over the last 3 years. The ETF pays out every month.

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Ex-dividend date
Payment date
Distribution
YoY
Yield
2026 €0.17 28.93% 4.21%
08/17/2026 08/19/2026 €0.0208
07/15/2026 07/17/2026 €0.0212
06/15/2026 06/17/2026 €0.0211
05/15/2026 05/19/2026 €0.0209
04/15/2026 04/17/2026 €0.0206
03/16/2026 03/18/2026 €0.0212
02/16/2026 02/18/2026 €0.0206
01/15/2026 01/19/2026 €0.0209
2025 €0.24 15.17% 5.99%
12/15/2025 12/17/2025 €0.0207
11/17/2025 11/19/2025 €0.021
10/15/2025 10/17/2025 €0.0208
09/15/2025 09/17/2025 €0.019
08/18/2025 08/20/2025 €0.0193
07/15/2025 07/17/2025 €0.0194
06/16/2025 06/18/2025 €0.0196
05/15/2025 05/19/2025 €0.02
04/15/2025 04/17/2025 €0.0198
03/17/2025 03/19/2025 €0.018
02/17/2025 02/19/2025 €0.0188
01/15/2025 01/17/2025 €0.019
2024 €0.20 0.20% 4.77%
12/16/2024 12/18/2024 €0.0189
11/15/2024 11/19/2024 €0.0185
10/15/2024 10/17/2024 €0.0181
09/16/2024 09/18/2024 €0.0162
08/16/2024 08/20/2024 €0.0162
07/15/2024 07/17/2024 €0.0165
06/18/2024 06/20/2024 €0.0168
05/15/2024 05/17/2024 €0.0165
04/15/2024 04/17/2024 €0.0169
03/15/2024 03/19/2024 €0.0166
02/15/2024 02/19/2024 €0.0167
01/15/2024 01/17/2024 €0.0165
2023 €0.20 35.80% -
12/15/2023 12/19/2023 €0.0164
11/15/2023 11/17/2023 €0.0165
10/16/2023 10/18/2023 €0.0171
09/15/2023 09/19/2023 €0.0169
08/16/2023 08/18/2023 €0.0165
07/17/2023 07/19/2023 €0.0161
06/15/2023 06/19/2023 €0.0165
05/15/2023 05/17/2023 €0.0166
04/17/2023 04/19/2023 €0.0164
03/15/2023 03/17/2023 €0.0186
02/15/2023 02/17/2023 €0.0187
01/16/2023 01/18/2023 €0.0185
2022 €0.32 27.83% -
12/15/2022 12/19/2022 €0.0188
11/15/2022 11/17/2022 €0.0193
10/17/2022 10/19/2022 €0.0266
09/15/2022 09/19/2022 €0.0259
08/16/2022 08/18/2022 €0.0258
07/15/2022 07/19/2022 €0.0254
06/15/2022 06/17/2022 €0.0248
05/17/2022 05/19/2022 €0.0246
04/19/2022 04/21/2022 €0.024
03/15/2022 03/17/2022 €0.0351
02/15/2022 02/17/2022 €0.0343
01/17/2022 01/19/2022 €0.0344
2021 €0.44 10.56% -
12/15/2021 12/17/2021 €0.0347
11/15/2021 11/17/2021 €0.0345
10/15/2021 10/19/2021 €0.0335
09/15/2021 09/17/2021 €0.0384
08/16/2021 08/18/2021 €0.0384
07/15/2021 07/19/2021 €0.0382
06/15/2021 06/17/2021 €0.0378
05/17/2021 05/19/2021 €0.037
04/15/2021 04/19/2021 €0.0374
03/15/2021 03/17/2021 €0.0376
02/15/2021 02/17/2021 €0.0374
01/15/2021 01/19/2021 €0.0371
2020 €0.49 4.34% -
12/15/2020 12/17/2020 €0.0367
11/16/2020 11/18/2020 €0.038
10/15/2020 10/19/2020 €0.0382
09/15/2020 09/17/2020 €0.0401
08/17/2020 08/19/2020 €0.0401
07/15/2020 07/17/2020 €0.0416
06/15/2020 06/17/2020 €0.0423
05/15/2020 05/19/2020 €0.0435
04/15/2020 04/17/2020 €0.0437
03/16/2020 03/18/2020 €0.0433
02/17/2020 02/19/2020 €0.0439
01/15/2020 01/17/2020 €0.0428
2019 €0.52 5.30% -
12/16/2019 12/18/2019 €0.0427
11/15/2019 11/19/2019 €0.0429
10/15/2019 10/17/2019 €0.0427
09/16/2019 09/18/2019 €0.0431
08/16/2019 08/20/2019 €0.0428
07/15/2019 07/17/2019 €0.0423
06/17/2019 06/19/2019 €0.0423
05/15/2019 05/17/2019 €0.0425
04/15/2019 04/17/2019 €0.042
03/15/2019 03/19/2019 €0.0445
02/15/2019 02/19/2019 €0.0445
01/15/2019 01/17/2019 €0.0443
2018 €0.49 0.00% -
12/17/2018 12/19/2018 €0.0443
11/15/2018 11/19/2018 €0.0441
10/15/2018 10/17/2018 €0.0439
09/17/2018 09/19/2018 €0.0407
08/16/2018 08/20/2018 €0.0413
07/16/2018 07/18/2018 €0.0408
06/18/2018 06/20/2018 €0.041
05/15/2018 05/17/2018 €0.0403
04/16/2018 04/18/2018 €0.0384
03/15/2018 03/19/2018 €0.0385
02/15/2018 02/19/2018 €0.0383
01/15/2018 01/17/2018 €0.039

Frequently asked questions

What percentage of dividends does Allianz Dynamic Asian High Yield Bd AM (USD) pay?

The dividend yield is currently 6.27%, and payouts have decreased by 9.64% over the past 3 years.

When were the most recent dividend payment dates for Allianz Dynamic Asian High Yield Bd AM (USD)?

The most recent payment was made on 08/19/2026. Previous payments were made on: 07/17/2026, 06/17/2026, and 05/19/2026.

When did you need to hold Allianz Dynamic Asian High Yield Bd AM (USD) in your portfolio to receive the latest dividend?

If you held Allianz Dynamic Asian High Yield Bd AM (USD) in your portfolio on 08/17/2026, you received the payout.

How much was the dividend from Allianz Dynamic Asian High Yield Bd AM (USD) in 2025?

In 2025, Allianz Dynamic Asian High Yield Bd AM (USD) paid €0.24 in dividends.

How much was the dividend from Allianz Dynamic Asian High Yield Bd AM (USD) in 2024?

In 2024, Allianz Dynamic Asian High Yield Bd AM (USD) paid €0.20 in dividends.

When is the next dividend from Allianz Dynamic Asian High Yield Bd AM (USD) expected?

Allianz Dynamic Asian High Yield Bd AM (USD) is expected to pay the next dividend in September.

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