AB FCP I - American Income Portfolio IT SGD Acc header image

AB FCP I - American Income Portfolio IT SGD Acc

Fund

ISIN LU1309713938 / Valor 30463486

NAV (2025-07-07)
SGD 15.01+0.13%

AB FCP I - American Income Portfolio IT SGD Acc
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AB American Income Portfolio aims to generate a high total return through income and long-term capital growth by primarily holding bonds: at least half of the portfolio is invested in higher‑rated (investment‑grade) U.S. government and corporate debt, though in some market conditions it may hold more than half in lower‑rated (below‑investment‑grade) — and therefore riskier — debt. Up to 35% of assets can be invested in issuers outside the U.S., including emerging markets. The manager actively shifts between longer- and shorter-term maturities based on interest‑rate views and may use derivatives to gain exposure, manage the portfolio efficiently, or reduce risks.

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investment grade debt securities bloomberg barclays us aggregate index

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