AB - Mortgage Income Portfolio A2 Acc
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General Objective
The fund seeks high risk-adjusted total return by investing in predominantly USD-denominated mortgage-related securities and other asset-backed securities. It dynamically balances return-seeking and risk-reducing assets through investments in securitized credit and high-quality bonds to capitalize on market opportunities.
Fund Exposure
The fund is exposed to mortgage-related fixed-income investments, with a focus on USD-denominated mortgage-related securities and other asset-backed securities. It employs a dynamic, flexible, and opportunistic approach that integrates proprietary quantitative research with fundamental analysis to achieve its investment objective.
Risks
Investors should be aware that the fund's performance is not guaranteed and past performance does not guarantee future results. The value of investments and the income from them will vary, and capital is at risk. Additionally, the fund's risk indicator suggests a recommended holding period of 5 years, and investors may face challenges in selling shares easily or at a price that significantly impacts their returns.