AB - American Income Portfolio C2 EUR Acc header image

AB - American Income Portfolio C2 EUR Acc

Fund

ISIN LU0232526433 / Valor 2605360

NAV (2025-02-14)
EUR 36.27+0.11%

AB - American Income Portfolio C2 EUR Acc
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General Objective

The fund seeks to provide a high level of current income consistent with the preservation of capital by employing a US dollar-denominated multi-sector bond approach in search of the best opportunities.

Fund Exposure

The fund is characterized by dynamically balancing credit and duration through investments in high yield and emerging market sectors to enhance income and dampen interest-rate risk, and in high-quality government bonds to alleviate credit risk when markets are stressed. It limits exposure to below investment-grade rated bonds to 50%.

Risks

The fund is considered higher risk and is suitable for investors with a higher risk tolerance seeking the income potential of fixed-income investments. The risk indicator assumes a recommended holding period of 5 years, and there may be difficulty in selling shares easily or at a price that significantly impacts the return.

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Source

https://www.abfunds.com.sg/sg/en/investor/funds/fixed-income/ab-american-income.a2.LU0095030564.html

Tags:
investment grade debt securities bloomberg barclays us aggregate index

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