Allianz Asset Management AG
Q1 2015 13F Holdings
Location
Munich, Germany
Holdings as of
3/31/2015
Value ($000)
$87,666,728
Num holdings
2,231
Date filed
5/15/2015
Form type
13F-HR
Prev filing
2/17/2015
Next filing
9/22/2015
SEC
View on sec.gov
Note
Holdings aggregated across “other managers” listed in original SEC filing,
see here
for detailed holdings broken out by other managers
This filing has been restated,
see here
for the amended filing
Compare Q1 2015 to
2024 Q3
2024 Q2
2024 Q1
2023 Q4
2023 Q3
2023 Q2
2023 Q1
2022 Q4
2022 Q3
2022 Q2
2022 Q1
2021 Q4 - NEW HOLDINGS
2021 Q4 - NEW HOLDINGS
2021 Q4
2021 Q3 - NEW HOLDINGS
2021 Q3
2021 Q2 - NEW HOLDINGS
2021 Q2
2021 Q1 - NEW HOLDINGS
2021 Q1
2020 Q4 - NEW HOLDINGS
2020 Q4
2020 Q3 - NEW HOLDINGS
2020 Q3
2020 Q2 - NEW HOLDINGS
2020 Q2
2020 Q1 - NEW HOLDINGS
2020 Q1
2019 Q4 - NEW HOLDINGS
2019 Q4
2019 Q3 - NEW HOLDINGS
2019 Q3
2019 Q2 - NEW HOLDINGS
2019 Q2
2019 Q1 - NEW HOLDINGS
2019 Q1
2018 Q4 - NEW HOLDINGS
2018 Q4 - RESTATEMENT
2018 Q3 - NEW HOLDINGS
2018 Q3 - RESTATEMENT
2018 Q2 - NEW HOLDINGS
2018 Q2 - RESTATEMENT
2018 Q1 - NEW HOLDINGS
2018 Q1 - RESTATEMENT
2017 Q4 - NEW HOLDINGS
2017 Q4 - RESTATEMENT
2017 Q3 - NEW HOLDINGS
2017 Q3 - RESTATEMENT
2017 Q2 - NEW HOLDINGS
2017 Q2 - RESTATEMENT
2017 Q1 - NEW HOLDINGS
2017 Q1 - RESTATEMENT
2016 Q4 - NEW HOLDINGS
2016 Q4 - RESTATEMENT
2016 Q3 - NEW HOLDINGS
2016 Q3 - RESTATEMENT
2016 Q2 - NEW HOLDINGS
2016 Q2 - RESTATEMENT
2016 Q1 - NEW HOLDINGS
2016 Q1
2015 Q4 - RESTATEMENT
2015 Q3 - RESTATEMENT
2015 Q2 - RESTATEMENT
2015 Q2 - NEW HOLDINGS
2015 Q1 - RESTATEMENT
2014 Q4
2014 Q3
2014 Q2
2014 Q1 - RESTATEMENT
2013 Q4
Sym
Issuer Name
Cl
CUSIP
Value ($000)
%
Shares
Principal
Option Type