<?xml version="1.0" encoding="UTF-8"?><edgarSubmission xmlns="http://www.sec.gov/edgar/nport" xmlns:com="http://www.sec.gov/edgar/common" xmlns:ncom="http://www.sec.gov/edgar/nportcommon" xmlns:xsi="http://www.w3.org/2001/XMLSchema-instance" xsi:schemaLocation="http://www.sec.gov/edgar/nport eis_NPORT_Filer.xsd">
  <headerData>
    <submissionType>NPORT-P</submissionType>
    <isConfidential>false</isConfidential>
    <filerInfo>

      <filer>
        <issuerCredentials>
          <cik>0001301708</cik>
          <ccc>XXXXXXXX</ccc>
        </issuerCredentials>
      </filer>


      <seriesClassInfo>
        <seriesId>S000043683</seriesId>
        <classId>C000135433</classId>
      </seriesClassInfo>

    </filerInfo>
  </headerData>
  <formData>
    <genInfo>
      <regName>Allianz Variable Insurance Products Fund of Funds Trust</regName>
      <regFileNumber>811-21624</regFileNumber>
      <regCik>0001301708</regCik>
      <regLei>5493009QBW66HRLU7X87</regLei>
      <regStreet1>5701 Golden Hills Drive</regStreet1>
      <regCity>Minneapolis</regCity>
      <regStateConditional regCountry="US" regState="US-MN"/>
      <regZipOrPostalCode>55416</regZipOrPostalCode>
      <regPhone>800-624-0197</regPhone>
      <seriesName>AZL MVP T Rowe Price Capital Appreciation Plus Fund</seriesName>
      <seriesId>S000043683</seriesId>
      <seriesLei>5493008LNB1TTPM3AB79</seriesLei>
      <repPdEnd>2025-12-31</repPdEnd>
      <repPdDate>2025-06-30</repPdDate>
      <isFinalFiling>N</isFinalFiling>
    </genInfo>
    <fundInfo>
      <totAssets>1013244301.41</totAssets>
      <totLiabs>136901.83</totLiabs>
      <netAssets>1013107399.58</netAssets>
      <assetsAttrMiscSec>0.00000000</assetsAttrMiscSec>
      <assetsInvested>0.00000000</assetsInvested>
      <amtPayOneYrBanksBorr>0.00000000</amtPayOneYrBanksBorr>
      <amtPayOneYrCtrldComp>0.00000000</amtPayOneYrCtrldComp>
      <amtPayOneYrOthAffil>0.00000000</amtPayOneYrOthAffil>
      <amtPayOneYrOther>0.00000000</amtPayOneYrOther>
      <amtPayAftOneYrBanksBorr>0.00000000</amtPayAftOneYrBanksBorr>
      <amtPayAftOneYrCtrldComp>0.00000000</amtPayAftOneYrCtrldComp>
      <amtPayAftOneYrOthAffil>0.00000000</amtPayAftOneYrOthAffil>
      <amtPayAftOneYrOther>0.00000000</amtPayAftOneYrOther>
      <delayDeliv>0.00000000</delayDeliv>
      <standByCommit>0.00000000</standByCommit>
      <liquidPref>0.00000000</liquidPref>
      <cshNotRptdInCorD>50026227.73000000</cshNotRptdInCorD>
      <isNonCashCollateral>N</isNonCashCollateral>
      <returnInfo>
        <monthlyTotReturns>
          <monthlyTotReturn classId="C000135433" rtn1="-2.18000000" rtn2="1.81000000" rtn3="3.40000000"/>
        </monthlyTotReturns>
        <monthlyReturnCats>
          <equityContracts>
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            <mon2 netRealizedGain="-27886954.74000000" netUnrealizedAppr="16968418.14000000"/>
            <mon3 netRealizedGain="152340.47000000" netUnrealizedAppr="1045470.28000000"/>
            <futureCategory>
              <instrMon1 netRealizedGain="-5094686.80000000" netUnrealizedAppr="-16728775.55000000"/>
              <instrMon2 netRealizedGain="-27886954.74000000" netUnrealizedAppr="16968418.14000000"/>
              <instrMon3 netRealizedGain="152340.47000000" netUnrealizedAppr="1045470.28000000"/>
            </futureCategory>
          </equityContracts>
          <interestRtContracts>
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            <mon2 netRealizedGain="47155.83000000" netUnrealizedAppr="-329212.51000000"/>
            <mon3 netRealizedGain="9036.32000000" netUnrealizedAppr="236882.50000000"/>
            <futureCategory>
              <instrMon1 netRealizedGain="77670.30000000" netUnrealizedAppr="291965.23000000"/>
              <instrMon2 netRealizedGain="47155.83000000" netUnrealizedAppr="-329212.51000000"/>
              <instrMon3 netRealizedGain="9036.32000000" netUnrealizedAppr="236882.50000000"/>
            </futureCategory>
          </interestRtContracts>
        </monthlyReturnCats>
        <othMon1 netRealizedGain="-539158.13000000" netUnrealizedAppr="-846630.63000000"/>
        <othMon2 netRealizedGain="7077770.82000000" netUnrealizedAppr="21669099.68000000"/>
        <othMon3 netRealizedGain="2882329.11000000" netUnrealizedAppr="29326333.38000000"/>
      </returnInfo>
      <mon1Flow redemption="15324864.48000000" reinvestment="0.00000000" sales="310266.81000000"/>
      <mon2Flow redemption="12598966.78000000" reinvestment="0.00000000" sales="268357.07000000"/>
      <mon3Flow redemption="16491863.47000000" reinvestment="0.00000000" sales="98674.52000000"/>

      <varInfo>

        <fundsDesignatedInfo>
          <nameDesignatedIndex>Securities Portfolio</nameDesignatedIndex>
          <indexIdentifier>N/A</indexIdentifier>

        </fundsDesignatedInfo>

      </varInfo>
    </fundInfo>
    <invstOrSecs>
      <invstOrSec>
        <name>AZL S&amp;P 500 Index Fund;2</name>
        <lei>N/A</lei>
        <title>AZL S P 500 INDEX CLASS 2</title>
        <cusip>018821546</cusip>
        <identifiers>
          <isin value="US0188215463"/>
          <other otherDesc="Internal" value="018821546"/>
        </identifiers>
        <balance>11026673.27680000</balance>
        <units>NS</units>
        <curCd>USD</curCd>
        <valUSD>277541366.38000000</valUSD>
        <pctVal>27.39505865765</pctVal>
        <payoffProfile>Long</payoffProfile>
        <assetConditional assetCat="OTHER" desc="MUTUAL FUND"/>
        <issuerCat>RF</issuerCat>
        <invCountry>US</invCountry>

        <isRestrictedSec>N</isRestrictedSec>

        <fairValLevel>1</fairValLevel>
        <securityLending>
          <isCashCollateral>N</isCashCollateral>
          <isNonCashCollateral>N</isNonCashCollateral>
          <isLoanByFund>N</isLoanByFund>
        </securityLending>
      </invstOrSec>
      <invstOrSec>
        <name>United States of America</name>
        <lei>N/A</lei>
        <title>10 YEAR US TREASURY NOTE FUTURE SEP25</title>
        <cusip>N/A</cusip>
        <identifiers>
          <isin value="US91282CNF40"/>
          <other otherDesc="Internal" value="TYU5"/>
        </identifiers>
        <balance>180.00000000</balance>
        <units>NC</units>
        <curCd>USD</curCd>
        <valUSD>327810.26000000</valUSD>
        <pctVal>0.032356911037</pctVal>
        <payoffProfile>N/A</payoffProfile>
        <assetCat>DIR</assetCat>
        <issuerConditional desc="Treasury Future" issuerCat="OTHER"/>
        <invCountry>US</invCountry>

        <isRestrictedSec>N</isRestrictedSec>

        <fairValLevel>1</fairValLevel>
        <derivativeInfo>
          <futrDeriv derivCat="FUT">
            <counterparties>
              <counterpartyName>BOARD OF TRADE OF THE CITY OF CHICAGO, INC.</counterpartyName>
              <counterpartyLei>549300EX04Q2QBFQTQ27</counterpartyLei>
            </counterparties>
            <payOffProf>Long</payOffProf>
            <descRefInstrmnt>
              <otherRefInst>
                <issuerName>United States of America</issuerName>
                <issueTitle>US 10 Year Treasury Note Future (consolidated) Sep 2025</issueTitle>
                <identifiers>
                  <cusip value="N/A"/>
                  <isin value="US91282CNF40"/>
                  <ticker value="TZU25"/>
                </identifiers>
              </otherRefInst>
            </descRefInstrmnt>
            <expDate>2025-09-19</expDate>
            <notionalAmt>19854689.74000000</notionalAmt>
            <curCd>USD</curCd>
            <unrealizedAppr>327810.26000000</unrealizedAppr>
          </futrDeriv>
        </derivativeInfo>
        <securityLending>
          <isCashCollateral>N</isCashCollateral>
          <isNonCashCollateral>N</isNonCashCollateral>
          <isLoanByFund>N</isLoanByFund>
        </securityLending>
      </invstOrSec>
      <invstOrSec>
        <name>AZL Enhanced Bond Index Fund</name>
        <lei>N/A</lei>
        <title>AZL ENHANCED BOND INDEX FUND</title>
        <cusip>018821470</cusip>
        <identifiers>
          <isin value="US0188214706"/>
          <other otherDesc="Internal" value="018821470"/>
        </identifiers>
        <balance>17912648.28140000</balance>
        <units>NS</units>
        <curCd>USD</curCd>
        <valUSD>177872597.43000000</valUSD>
        <pctVal>17.55713140618</pctVal>
        <payoffProfile>Long</payoffProfile>
        <assetConditional assetCat="OTHER" desc="MUTUAL FUND"/>
        <issuerCat>RF</issuerCat>
        <invCountry>US</invCountry>

        <isRestrictedSec>N</isRestrictedSec>

        <fairValLevel>1</fairValLevel>
        <securityLending>
          <isCashCollateral>N</isCashCollateral>
          <isNonCashCollateral>N</isNonCashCollateral>
          <isLoanByFund>N</isLoanByFund>
        </securityLending>
      </invstOrSec>
      <invstOrSec>
        <name>AZL T Rowe Price Capital Appreciation Fund;2</name>
        <lei>N/A</lei>
        <title>AZL T ROWE PRICE CAPITAL APPRECIATION FUND</title>
        <cusip>018821306</cusip>
        <identifiers>
          <isin value="US0188213062"/>
          <other otherDesc="Internal" value="018821306"/>
        </identifiers>
        <balance>27103999.40280000</balance>
        <units>NS</units>
        <curCd>USD</curCd>
        <valUSD>507657908.81000000</valUSD>
        <pctVal>50.10899229641</pctVal>
        <payoffProfile>Long</payoffProfile>
        <assetConditional assetCat="OTHER" desc="MUTUAL FUND"/>
        <issuerCat>RF</issuerCat>
        <invCountry>US</invCountry>

        <isRestrictedSec>N</isRestrictedSec>

        <fairValLevel>1</fairValLevel>
        <securityLending>
          <isCashCollateral>N</isCashCollateral>
          <isNonCashCollateral>N</isNonCashCollateral>
          <isLoanByFund>N</isLoanByFund>
        </securityLending>
      </invstOrSec>
      <invstOrSec>
        <name>S P 500 EMINI FUTURE SEP25</name>
        <lei>N/A</lei>
        <title>S P 500 EMINI FUTURE SEP25</title>
        <cusip>N/A</cusip>
        <identifiers>
          <isin value="N/A"/>
          <ticker value="ESU25"/>
          <other otherDesc="Internal" value="ESU5"/>
        </identifiers>
        <balance>97.00000000</balance>
        <units>NC</units>
        <curCd>USD</curCd>
        <valUSD>1073933.98000000</valUSD>
        <pctVal>0.106003961716</pctVal>
        <payoffProfile>N/A</payoffProfile>
        <assetCat>DE</assetCat>
        <issuerConditional desc="Index Future" issuerCat="OTHER"/>
        <invCountry>US</invCountry>

        <isRestrictedSec>N</isRestrictedSec>

        <fairValLevel>1</fairValLevel>
        <derivativeInfo>
          <futrDeriv derivCat="FUT">
            <counterparties>
              <counterpartyName>CHICAGO MERCANTILE EXCHANGE INC</counterpartyName>
              <counterpartyLei>SNZ2OJLFK8MNNCLQOF39</counterpartyLei>
            </counterparties>
            <payOffProf>Long</payOffProf>
            <descRefInstrmnt>
              <indexBasketInfo>
                <indexName>S&amp;P 500 Future (e-Mini) Sep 2025</indexName>
                <indexIdentifier>ESU25</indexIdentifier>
              </indexBasketInfo>
            </descRefInstrmnt>
            <expDate>2025-09-19</expDate>
            <notionalAmt>29256753.52000000</notionalAmt>
            <curCd>USD</curCd>
            <unrealizedAppr>1073933.98000000</unrealizedAppr>
          </futrDeriv>
        </derivativeInfo>
        <securityLending>
          <isCashCollateral>N</isCashCollateral>
          <isNonCashCollateral>N</isNonCashCollateral>
          <isLoanByFund>N</isLoanByFund>
        </securityLending>
      </invstOrSec>
    </invstOrSecs>
    <signature>
      <ncom:dateSigned>2025-07-30</ncom:dateSigned>
      <ncom:nameOfApplicant>Allianz Variable Insurance Products Fund of Funds Trust</ncom:nameOfApplicant>
      <ncom:signature>Monique Labbe</ncom:signature>
      <ncom:signerName>Monique Labbe</ncom:signerName>
      <ncom:title>Treasurer - Principal Financial Officer</ncom:title>
    </signature>
  </formData>
</edgarSubmission>
