0001193125-20-246882.txt : 20200916 0001193125-20-246882.hdr.sgml : 20200916 20200916104102 ACCESSION NUMBER: 0001193125-20-246882 CONFORMED SUBMISSION TYPE: DEFA14A PUBLIC DOCUMENT COUNT: 2 FILED AS OF DATE: 20200916 DATE AS OF CHANGE: 20200916 EFFECTIVENESS DATE: 20200916 FILER: COMPANY DATA: COMPANY CONFORMED NAME: ALLIANZ FUNDS CENTRAL INDEX KEY: 0000867297 IRS NUMBER: 330457728 STATE OF INCORPORATION: MA FISCAL YEAR END: 0630 FILING VALUES: FORM TYPE: DEFA14A SEC ACT: 1934 Act SEC FILE NUMBER: 811-06161 FILM NUMBER: 201177705 BUSINESS ADDRESS: STREET 1: 1633 BROADWAY CITY: NEW YORK STATE: NY ZIP: 10019 BUSINESS PHONE: 212-739-3000 MAIL ADDRESS: STREET 1: 1633 BROADWAY CITY: NEW YORK STATE: NY ZIP: 10019 FORMER COMPANY: FORMER CONFORMED NAME: PIMCO FUNDS MULTI MANAGER SERIES DATE OF NAME CHANGE: 19970626 FORMER COMPANY: FORMER CONFORMED NAME: PIMCO FUNDS EQUITY ADVISORS SERIES DATE OF NAME CHANGE: 19960227 FORMER COMPANY: FORMER CONFORMED NAME: PIMCO ADVISORS INSTITUTIONAL FUNDS DATE OF NAME CHANGE: 19941017 FILER: COMPANY DATA: COMPANY CONFORMED NAME: Allianz Funds Multi-Strategy Trust CENTRAL INDEX KEY: 0001423227 IRS NUMBER: 000000000 STATE OF INCORPORATION: MA FILING VALUES: FORM TYPE: DEFA14A SEC ACT: 1934 Act SEC FILE NUMBER: 811-22167 FILM NUMBER: 201177704 BUSINESS ADDRESS: STREET 1: C/O ALLIANZ GLOBAL INVESTORS STREET 2: 1633 BROADWAY CITY: NEW YORK STATE: NY ZIP: 10019 BUSINESS PHONE: 212-739-3000 MAIL ADDRESS: STREET 1: C/O ALLIANZ GLOBAL INVESTORS STREET 2: 1633 BROADWAY CITY: NEW YORK STATE: NY ZIP: 10019 0000867297 S000007963 AllianzGI Dividend Value Fund C000021604 Administrative ANDAX C000021605 A PNEAX C000021607 C PNECX C000021609 Institutional NFJEX C000021610 R PNERX C000066127 P ADJPX C000135573 R6 ANDVX 0000867297 S000007964 AllianzGI International Value Fund C000021611 A AFJAX C000021612 C AFJCX C000021614 Institutional ANJIX C000066128 P AFVPX C000073581 Administrative AIVAX C000081088 R ANJRX C000135574 R6 ANAVX 0000867297 S000007965 AllianzGI Large-Cap Value Fund C000021615 R ANLRX C000021616 A PNBAX C000021618 C PNBCX C000021620 Institutional ANVIX C000034186 Administrative ALNFX C000066129 P ALCPX C000204677 R6 0000867297 S000007966 AllianzGI Small-Cap Value Fund C000021621 A PCVAX C000021622 Administrative PVADX C000021624 C PCVCX C000021626 Institutional PSVIX C000021627 R PNVRX C000066130 P ASVPX C000135575 R6 ANFVX 0000867297 S000007968 AllianzGI Mid-Cap Value Fund C000021632 A PQNAX C000021633 Administrative PRAAX C000021635 C PQNCX C000021637 Institutional PRNIX C000021638 R PRNRX C000098087 P ANRPX C000196957 Class R6 ANPRX 0000867297 S000007971 AllianzGI Focused Growth Fund C000021653 A PGWAX C000021654 Administrative PGFAX C000021656 C PGWCX C000021658 Institutional PGFIX C000021659 R PPGRX C000066132 P AOGPX C000164304 R6 AFGFX 0000867297 S000007977 AllianzGI Health Sciences Fund C000021683 A RAGHX C000021685 C RCGHX C000150255 Institutional Class HLHIX C000204678 R6 C000220799 P 0000867297 S000007979 AllianzGI Global Small-Cap Fund C000021688 A RGSAX C000021690 C RGSCX C000021692 Institutional DGSCX C000066137 P ARSPX C000204680 R6 0000867297 S000007980 AllianzGI Technology Fund C000021693 A RAGTX C000021694 Administrative DGTAX C000021696 C RCGTX C000021698 Institutional DRGTX C000066138 P ARTPX C000204681 R6 0000867297 S000007984 AllianzGI Mid-Cap Fund C000021714 A RMDAX C000021715 Administrative DRMAX C000021717 C RMDCX C000021719 Institutional DRMCX C000021720 R PRMRX C000111282 Class P ARMPX C000204682 R6 0000867297 S000012942 AllianzGI Emerging Markets Opportunities Fund C000034948 A AOTAX C000034949 C AOTCX C000034951 Institutional AOTIX C000066149 P AEMPX C000164305 R6 AEMOX 0000867297 S000015823 AllianzGI Income & Growth Fund C000043488 Class A AZNAX C000043489 Class C AZNCX C000043491 Institutional Class AZNIX C000066151 P AIGPX C000098088 R AIGRX C000204683 R6 0000867297 S000041383 AllianzGI Small-Cap Fund C000128360 Class A AZBAX C000128361 Class C AZBCX C000128362 Institutional Class AZBIX C000128363 Class P AZBPX C000164306 R6 ASCFX 0001423227 S000021463 AllianzGI Water Fund C000061366 Class A AWTAX C000061367 Class C AWTCX C000061369 Class P AWTPX C000066034 Institutional Class AWTIX 0001423227 S000024365 AllianzGI Multi Asset Income Fund C000072229 P AGRPX C000072230 R ASRRX C000072231 R6 AVRIX C000072232 Administrative ARAMX C000072233 A AGRAX C000072234 C ARTCX C000198525 Institutional Class AVRNX 0001423227 S000024367 AllianzGI Retirement 2020 Fund C000072243 A AGLAX C000072244 C ABSCX C000072246 P AGLPX C000072247 R AGLRX C000072248 R6 AGNIX C000072249 Administrative AGLMX 0001423227 S000024368 AllianzGI Retirement 2030 Fund C000072250 A ABLAX C000072251 C ABLCX C000072253 P ABLPX C000072254 R ABLRX C000072255 R6 ABLIX C000072256 Administrative ABAMX 0001423227 S000024369 AllianzGI Retirement 2040 Fund C000072257 A AVSAX C000072258 C AVSCX C000072260 P AVSPX C000072261 R AVSRX C000072262 R6 AVTIX C000072263 Administrative AVAMX 0001423227 S000024370 AllianzGI Retirement 2050 Fund C000072264 A ASNAX C000072265 C ASNCX C000072267 P ASNPX C000072268 R ASNRX C000072269 R6 ASNIX C000072270 Administrative ANAMX 0001423227 S000025373 AllianzGI Global Dynamic Allocation Fund C000075786 Class A ASGAX C000075787 Class C ASACX C000075789 Class P AGSPX C000075790 Class R ASFRX C000075791 Institutional Class AGAIX C000075792 Administrative Class AGFAX C000165872 Class R6 ADYFX 0001423227 S000025374 AllianzGI Global Allocation Fund C000075793 Class C PALCX C000075795 Class P AGAPX C000075796 Class R AGARX C000075797 Institutional Class PALLX C000075798 Administrative Class AGAMX C000075799 Class A PALAX C000160541 Class R6 AGASX 0001423227 S000028359 AllianzGI Convertible Fund C000086658 Class A ANZAX C000086659 Class C ANZCX C000086660 Class R ANZRX C000086661 Institutional Class ANNPX C000086662 Class P ANCMX C000086663 Administrative Class ANNAX 0001423227 S000028360 AllianzGI High Yield Bond Fund C000086665 Class R AYBRX C000086666 Institutional Class AYBIX C000086667 Class P AYBPX C000086668 Administrative Class AYBVX C000086670 Class A AYBAX C000086671 Class C AYBCX C000165873 Class R6 0001423227 S000028361 AllianzGI International Small-Cap Fund C000086672 Class A AOPAX C000086673 Class C AOPCX C000086674 Class R ALORX C000086675 Institutional Class ALOIX C000086676 Class P ALOPX C000165874 Class R6 AIISX 0001423227 S000033713 AllianzGI Short Duration High Income Fund C000103876 Class A ASHAX C000103877 Class C ASHCX C000103878 Institutional Class ASHIX C000103879 Class P ASHPX C000177646 Class R6 ASHSX 0001423227 S000035101 AllianzGI Retirement 2025 Fund C000107992 Administrative Class GVDAX C000107993 Class A GVSAX C000107994 Class P GVSPX C000107995 Class R GVSRX C000107996 R6 GVSIX 0001423227 S000035102 AllianzGI Retirement 2035 Fund C000107997 Class A GVRAX C000107998 Class P GVPAX C000107999 Class R GVRRX C000108000 R6 GVLIX C000108001 Administrative Class GVLAX 0001423227 S000035103 AllianzGI Retirement 2045 Fund C000108002 Class A GBVAX C000108003 Class P GBVPX C000108004 Class R GBVRX C000108005 R6 GBVIX C000108006 Administrative Class GBMAX 0001423227 S000035104 AllianzGI Retirement 2055 Fund C000108007 Class A GLIAX C000108008 Class P GLIPX C000108009 Class R GLLRX C000108010 R6 GBLIX C000108011 Administrative Class GLRAX 0001423227 S000038495 AllianzGI Structured Return Fund C000118770 Institutional Class AZIIX C000118771 Class P AZIPX C000118773 Class A AZIAX C000118774 Class C AZICX C000175976 Class R6 AZIRX 0001423227 S000038497 AllianzGI Emerging Markets Value Fund C000118780 Institutional Class AZMIX C000118781 Class P AZMPX C000118783 Class A AZMAX C000118784 Class C AZMCX 0001423227 S000043090 AllianzGI Best Styles Global Equity Fund C000133382 Class R6 AGERX C000145912 Class A ALLGX C000145913 Institutional Class ALLHX C000149004 Class P ALGPX C000169076 Class C ABSGX 0001423227 S000045838 AllianzGI Emerging Markets SRI Debt Fund C000142885 Class A AGMAX C000142886 Institutional Class AGMIX C000142887 Class C AGMCX C000142888 Class P AGMPX 0001423227 S000047027 AllianzGI Best Styles U.S. Equity Fund C000146982 Class R6 ALSEX C000146983 Institutional Class ABTLX C000149005 Class P ALBPX C000169077 Class A AABUX C000169078 Class C ACBUX 0001423227 S000047028 AllianzGI Emerging Markets Consumer Fund C000146984 Class A AMMAX C000146985 Institutional Class AERIX 0001423227 S000047029 AllianzGI Emerging Markets Small-Cap Fund C000146986 Class A ALMMX C000146987 Institutional Class ALAIX 0001423227 S000047250 AllianzGI Global Sustainability Fund C000148056 Class A ASUAX C000148057 Institutional Class ASTNX C000148058 Class P ASTPX 0001423227 S000058110 AllianzGI Floating Rate Note Fund C000190247 Institutional Class ARIEX C000190248 Class P AREPX 0001423227 S000059664 AllianzGI PerformanceFee Managed Futures Strategy Fund C000195319 Institutional Class APMIX C000195320 Class P APMPX C000195321 Class R6 APMRX 0001423227 S000059666 AllianzGI PerformanceFee Structured US Equity Fund C000195325 Institutional Class APBIX C000195326 Class P APBPX C000195327 Class R6 APBRX 0001423227 S000061526 AllianzGI Core Bond Fund C000199231 Class R6 AOBSX C000199232 Institutional Class AOBIX C000199233 Class P AOBPX 0001423227 S000061527 AllianzGI Core Plus Bond Fund C000199234 Class R6 ACOSX C000199235 Institutional Class ACKIX C000199236 Class P ACKPX 0001423227 S000061528 AllianzGI Preferred Securities and Income Fund C000199237 Class R6 ARISX C000199238 Institutional Class APEIX C000199239 Class P APUPX 0001423227 S000062104 AllianzGI Short Term Bond Fund C000201070 Class A ASTHX C000201071 Institutional Class ASTKX C000201072 Class P ASTJX 0001423227 S000063446 AllianzGI Green Bond Fund C000205584 Class P AGBPX C000205585 Class A AGBFX C000205586 Institutional Class ABGTX DEFA14A 1 d62878ddefa14a.htm DEFA14A DEFA14A

 

 

UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

Washington, D.C. 20549

 

 

SCHEDULE 14A

Proxy Statement Pursuant to Section 14(a) of the

Securities Exchange Act of 1934

(Amendment No.   )

 

 

Filed by the Registrant  ☒                            Filed by a Party other than the Registrant  ☐

Check the appropriate box:

 

  Preliminary Proxy Statement
  Confidential, for Use of the Commission Only (as permitted by Rule 14(a)-6(e)(2))
  Definitive Proxy Statement
  Definitive Additional Materials
  Soliciting Materials Pursuant to §240.14a-12

Allianz Funds

Allianz Funds Multi-Strategy Trust

(Name of Registrant as Specified In Its Charter)

1633 Broadway

New York, New York 10019

(Name of Person(s) Filing Proxy Statement, if other than the Registrant)

Payment of Filing Fee (Check the appropriate box):

  No fee required
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  (1)  

Title of each class of securities to which transaction applies:

 

     

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Aggregate number of securities to which transaction applies:

 

     

  (3)  

Per unit price or other underlying value of transaction computed pursuant to Exchange Act Rule 0-11 (set forth the amount on which the filing fee is calculated and state how it was determined):

 

     

  (4)  

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  (5)  

Total fee paid:

 

     

  Fee paid previously with preliminary materials:
  Check box if any part of the fee is offset as provided by Exchange Act Rule 0-11(a)(2) and identifying the filing for which the offsetting fee was paid previously. Identify the previous filing by registration statement number, or the Form or Schedule and the date of its filing.
  1)  

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  4)  

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ALLIANZ FUNDS

ALLIANZ FUNDS MULTI-STRATEGY TRUST

1633 Broadway, New York, New York 10019

For proxy information, please call 833-934-2736

For account information, please call:

1-800-498-5413 (Institutional Class, Class R6, Class P and Administrative Class)

1-800-988-8380 (Class A, Class C and Class R Shares)

Dear Shareholder:

On behalf of the Board of Trustees (the “Board”) of each of Allianz Funds (“Allianz Funds”) and Allianz Funds Multi-Strategy Trust (“MST,” and together with Allianz Funds, the “Trusts”), we are pleased to invite you to a combined special meeting (the “Meeting”) of the Shareholders of the Trusts scheduled for 10:00 a.m., Eastern time, on October 28, 2020, to be held virtually via live audio webcast at https://www.viewproxy.com/allianzfunds/broadridgevsm/, to approve a series of changes to the series of the Trusts (each a “Fund” and collectively, the “Funds”) that will allow a transition to a new management structure (the “Transition”) in line with the strategic partnership described below.i

On July 7, 2020, Allianz Global Investors U.S. LLC (“AllianzGI U.S.”), the current investment adviser to each Fund, announced that it had agreed to a strategic partnership with Virtus Investment Partners, Inc. which operates a multi-boutique asset management business. Central to the strategic partnership, and subject to certain Shareholder approvals and additional terms and conditions, affiliates of Virtus Investment Partners, Inc. will become investment adviser, distributor and/or administrator of certain of the Funds, as described in the accompanying Proxy Statement, as well as other AllianzGI U.S.-managed products. AllianzGI U.S. teams will continue to manage each Fund in a sub-advisory capacity. AllianzGI U.S.’s Dallas-based Value Equity team, formerly known as NFJ Investment Group, will join Virtus as an affiliated manager. As discussed further in the Proxy Statement, for those series of the Trusts continuing operations after the Transition (the “Continuing Funds”), Virtus has agreed to contractually limit each Continuing Fund’s expenses for two years from the closing of the Transition, so that each Continuing Fund’s net total expenses do not exceed current levels. Though the Transition will result in significant changes for the Funds, it is not expected to directly result in any change to the personnel responsible for managing the Funds’ assets or the composition of the Funds’ portfolios or in any increase in the fees or expenses borne by Fund Shareholders.

At the upcoming special Meeting, Shareholders will be asked to consider and vote with respect to certain proposals related to the Transition. Specifically, Shareholders will be asked to consider:

 

   

Approval of the election of thirteen (13) Trustees by Shareholders of each Trust. Three (3) nominees are currently Trustees of one or more of the Trusts;

 

   

Approval of a new investment advisory and sub-advisory agreements that will be necessary to complete the Transition;

 

   

Approval of operating under exemptive relief that would permit Virtus Investment Advisers, Inc. to manage the Funds under a manager-of-manager structure; and

 

   

Approval of a change in the classification of AllianzGI Focused Growth Fund from a “diversified” fund to a “non-diversified” fund by Shareholders of the Fund.

 

i 

In light of uncertainties relating to the novel coronavirus pandemic (“COVID-19”), the Trusts reserve the flexibility to change the date, time, location or means of conducting the Meeting. In the event of such a change, the Trusts will issue a press release announcing the change and file the announcement as definitive additional soliciting material on the U.S. Securities and Exchange Commission’s EDGAR system, and take all other reasonable steps necessary to inform other intermediaries in the proxy process and other relevant market participants of such change among other steps. Although no decision has been made, the Trusts may consider imposing additional procedures or limitations on Meeting attendees, subject to any restrictions imposed by applicable law. The Trusts plan to announce these changes, if any, at www.us.allianzgi.com, and encourage you to check this website prior to the Meeting.


Each Trust’s Board has unanimously approved these proposals for the Trusts and recommends that each Shareholder vote for each proposal on which he or she is entitled to vote.

No matter how many shares you own, your timely vote is important. If you are not available to attend the Meeting, then please promptly give your voting instructions by telephone or via the internet by following the enclosed instructions, or you may vote by completing, signing, dating and returning the proxy card in order to avoid the added cost of follow-up solicitations. If you vote by telephone or via the internet, you will be asked to enter a unique code that has been assigned to you, which is printed on your proxy card. This code is designed to confirm your identity, provide access to the voting site and confirm that your instructions are properly recorded. If you have any questions regarding the Proxy Statement, please call Broadridge Financial Solutions, Inc. at 833-934-2736.

Thank you in advance for your participation in this important vote.

 

Sincerely,
LOGO
Thomas J. Fuccillo
President and Chief Executive Officer

New York, New York

September 15, 2020

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