AB - Emerging Markets Debt Portfolio AT HKD Inc header image

AB - Emerging Markets Debt Portfolio AT HKD Inc

Fund

ISIN LU0453504796 / Valor 11123733

NAV (2025-03-13)
HKD 87.90+0.03%

AB - Emerging Markets Debt Portfolio AT HKD Inc
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General Objective

The fund seeks to maximize total returns from a combination of price appreciation and income by investing predominantly in a diversified basket of emerging-market (EM) hard-currency sovereign-debt issues, with opportunistic allocations to EM corporate debt and EM local-currency debt.

Fund Exposure

The fund is exposed to emerging-market (EM) hard-currency sovereign-debt issues, with opportunistic allocations to EM corporate debt and EM local-currency debt. It leverages extensive experience in EM-debt investing, utilizing fundamental and quantitative research capabilities with a global team of portfolio managers and traders.

Risks

Investors in this fund should be aware that the value of investments and the income from them will vary, and their capital is at risk. The fund's risk indicator is a guide to the level of risk compared to other investment funds, showing how likely it is that the fund will lose money due to market movements.

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Source

https://www.alliancebernstein.com/de/de/adviser/funds/fixed-income/ab-emerging-markets-debt.a2.LU0246601768.html

Tags:
emerging markets debt securities jpmorgan embi global diversified index

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