AB - Mortgage Income Portfolio AT EUR Inc header image

AB - Mortgage Income Portfolio AT EUR Inc

Fund

ISIN LU1021289233 / Valor 23812713

NAV (2024-10-21)
EUR 10.70+0.19%

AB - Mortgage Income Portfolio AT EUR Inc
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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 such as agency mortgage-backed securities.

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 also invests in securitized credit, including high yield, and high-quality bonds such as agency mortgage-backed securities.

Risks

Investors in this fund should be aware of the risks associated with investing in mortgage-related securities, including interest rate risk, credit risk, and market volatility. Additionally, the fund's dynamic and opportunistic approach may result in higher levels of risk compared to more conservative fixed-income investments.

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Source

https://www.abfunds.com.hk/hk/en/investor/funds/fixed-income/ab-mortgage-income.a2.LU1021288185.html

Tags:
asset backed mortgage related 3-month libor

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