AB FCP I - Global High Yield Portfolio A2 HKD Acc header image

AB FCP I - Global High Yield Portfolio A2 HKD Acc

Fund

ISIN LU0417103495 / Valor 10770485

NAV (2026-06-22)
HKD 157.72-0.03%

AB FCP I - Global High Yield Portfolio A2 HKD Acc
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AB Global High Yield seeks high income and long‑term capital growth by investing mainly in higher‑yielding, below‑investment‑grade debt from issuers around the world, with a particular emphasis on U.S. corporate bonds and both corporate and government debt in emerging markets. The portfolio selects securities based on issuer financial health and relevant economic or political factors, may hold exposure to non‑USD and emerging‑market currencies, and can use derivatives to gain exposure, manage the portfolio efficiently, or reduce risk. It is also managed with ESG considerations and is classified as SFDR Article 8.

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Tags:
emerging markets high yield bloomberg barclays global high yield index

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