AB - European Income Portfolio I2 Acc header image

AB - European Income Portfolio I2 Acc

Fund

ISIN LU0249549782 / Valor 2605443

NAV (2024-10-18)
EUR 14.88+0.20%

AB - European Income Portfolio I2 Acc
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General Objective

The fund seeks to maximize current income while seeking preservation of capital by maintaining a diversified portfolio of investment-grade and non-investment-grade fixed-income securities issued by European companies and governments, with flexibility to invest in some non-European issuers. It aims to generate yield from diverse sources by dynamically balancing higher-yielding Euro fixed-income assets with lower risk government bonds.

Fund Exposure

The fund is predominantly invested in Euro or European currency-denominated securities and employs a multi-sector approach in search of the best opportunities. It is exposed to a mix of asset classes, including investment-grade and non-investment-grade fixed-income securities issued by European companies and governments, with the flexibility to invest in some non-European issuers.

Risks

Investors should be aware that the value of investments and the income from them will vary, and their capital is at risk. The fund is actively managed, and the Investment Manager is not constrained by its Benchmark when implementing the investment strategy. Past performance does not guarantee future results, and the fund may experience losses due to market movements.

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Source

https://www.alliancebernstein.com/de/de/adviser/focus-funds/ab-european-income-portfolio.html

Tags:
emerging markets bloomberg barclays euro aggregate index european debt

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