AB Global Income Portfolio I2 H GBP
AB Global Income Portfolio I2 H GBP
ISIN:
LU1585238170
Risk level:
FE fundinfo Rating:
3 of 5
IA Sector:
FO Fixed Int - USD
Income type:
Accumulation
Price:
15.9500GBP
04 November 2024
Last change:
0.00%
1 year change:
icon-up-small 9.44%
5 year annualised return:
-0.01%
12 month yield:
N/A%
At a glance performance and information
Eligibility:
The value of investments, and income from them, can rise and fall so you may get back less than you invest. If you are unsure about investing, seek independent advice
Add to chart:
-
AB Global Income Portfolio I2 H GBP
-
FO Fixed Int - USD
-
Bloomberg Global Aggregate Hedged GBP
Discrete calendar year performance
Trailing returns
(*annualised)
Fund Objective: The Fund seeks to achieve a high return on your investment, both by earning high income and by increasing the value of your investment over the long term.
Manager name:
AllianceBernstein (Luxembourg) S.a r.l.
Manager start date:
01 January 2022
Investment style:
*None
Region (geographical):
Global
Manager Biography:
Fahd Malik joined AB in 2006 and has extensive experience in systematic, market-neutral, risk-mitigating and derivative strategies. Prior to his role as Senior Vice President and Portfolio Manager on the Fixed Income team, Malik served as a portfolio manager for AB's Absolute Return fund. Drawn to AB's culture of innovation and meritocracy, Malik's first question when designing a portfolio is whether the strategy meets client needs. The dynamic nature of the market, combined with the challenge of making decisions in the face of incomplete information, drives him to learn something new every day. Malik's degrees in electrical engineering and math finance influence his approach. “My strategies tend to be more quantitative in nature,” he says. “I like it when the numbers to do the talking.”
Benchmark:
Bloomberg Global Aggregate Hedged GBP
Sector:
FO Fixed Int - USD
FE fundinfo Rating:
3 of 5
Fees and Charges
Asset Allocation
Fund size: 108,083,183.47 GBP
Chart date: November 4, 2024
Top 10 Holdings
Sectors
World regions
What is ESG?
ESG stands for Environmental, Social and Governance and is an approach for evaluating to what extent a company works towards social goals. For investors this can be used in order to understand how their funds and the assets they are made up of work towards these goals and use that information to help make sustainable investment choices.
ESG Metric
Score
MSCI ESG Quality Score (0-10)
5.6
MSCI ESG Quality Score - Peer Percentile (0-100)
16%
MSCI ESG Quality Score - Global Percentile (0-100)
32%
Fund Environmental Impact Involvement (%)
5%
Fund Social Score Impact Involvement (%)
5%
Fund Severe Governance Controversies Involvement (%)
7%