Definitive Materials Filed by Investment Companies. (497)
14 Februar 2014 - 10:27PM
Edgar (US Regulatory)
Filed pursuant to Rule 497(e)
File Nos. 33-36528 and 811-6161
ALLIANZ FUNDS
Supplement
dated February 14, 2014 to the
Statutory Prospectuses for Administrative Class, Institutional Class, Class A, Class B, Class C,
Class D, Class P and
Class R shares of all series of Allianz Funds except for AllianzGI Money Market Fund
Dated August 28, 2013 (as revised December 19, 2013) (as supplemented thereafter)
Disclosure Relating to AllianzGI U.S. Managed Volatility Fund
Within the Fund Summary relating to the AllianzGI U.S. Managed Volatility Fund, the first sentence in the third paragraph in the subsection entitled
Principal Investment Strategies is hereby restated in its entirety as follows:
In addition to equity securities (such as
preferred stocks, convertible securities and warrants) and equity-related instruments, the Fund may invest in securities issued in initial public offerings (IPOs) and real estate investment trusts (REITs), and utilize foreign currency exchange
contracts, options, stock index futures contracts, warrants and other derivative instruments.
Corresponding changes are hereby made within the
Principal Investments and Strategies of Each Fund AllianzGI U.S. Managed Volatility Fund section of the Prospectuses.
Within the Fund
Summary relating to the AllianzGI U.S. Managed Volatility Fund, the following is hereby added after Management Risk in the subsection entitled Principal Risks:
REIT and Real Estate-Related Investment Risk
: Adverse changes in the real estate markets may affect the value of REIT investments or
real estate-linked derivatives.
Within the subsection entitled Principal Investments and Strategies of Each Fund Allianz U.S. Managed
Volatility Fund Principal Risks, REIT and Real Estate-Related Investment Risk is hereby added after Management Risk as a principal risk of the AllianzGI U.S. Managed Volatility Fund.
Disclosure Relating to AllianzGI International Managed Volatility Fund
Within the Fund Summary relating to the AllianzGI International Managed Volatility Fund, the first sentence in the third paragraph in the subsection entitled
Principal Investment Strategies is hereby restated in its entirety as follows:
In addition to equity securities (such as
preferred stocks, convertible securities and warrants) and equity-related instruments, the Fund may invest in securities issued in initial public offerings (IPOs) and real estate investment trusts (REITs), and utilize foreign currency exchange
contracts, options, stock index futures contracts, warrants and other derivative instruments.
Corresponding changes are hereby made within the
Principal Investments and Strategies of Each Fund AllianzGI International Managed Volatility Fund section of the Prospectuses.
Within
the Fund Summary relating to the AllianzGI International Managed Volatility Fund, the following is hereby added after Management Risk in the subsection entitled Principal Risks:
REIT and Real Estate-Related Investment Risk
: Adverse changes in the real estate markets may affect the value of REIT investments or
real estate-linked derivatives.
Within the subsection entitled Principal Investments and Strategies of Each Fund Allianz International
Managed Volatility Fund Principal Risks, REIT and Real Estate-Related Investment Risk is hereby added after Management Risk as a principal risk of the AllianzGI International Managed Volatility Fund.
Please retain this Supplement for future reference.
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