AB - Eurozone Equity Portfolio A USD H Acc
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General Objective
The fund seeks long-term capital growth by investing in stocks across the Eurozone that offer compelling long-term return potential and attractive valuations. It takes a long-term perspective to capitalize on market inefficiencies and employs a disciplined, bottom-up approach combining fundamental research with proprietary quantitative tools.
Fund Exposure
The fund is exposed to the Eurozone equity market and is characterized by a high active share of 73.00%. It invests in a diversified portfolio of 45 holdings and aims to suit higher-risk-tolerant investors seeking medium- to long-term rewards of equity investment.
Risks
Investors should be aware that past performance does not guarantee future results. The value of investments and income can vary, and capital is at risk. The fund's performance is net of ongoing charges, and investors may pay a sales charge of up to 5%. Other personal securities portfolio costs, such as custody fees, may further reduce performance.