AB SICAV I- Low Volatility Equity Portfolio A EUR Acc header image

AB SICAV I- Low Volatility Equity Portfolio A EUR Acc

Fund

ISIN LU1998907197 / Valor 48422914

NAV (2025-11-26)
EUR 26.71+0.23%

AB SICAV I- Low Volatility Equity Portfolio A EUR Acc
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AB Low Volatility Equity invests in a diversified selection of around 98 global stocks chosen for their quality, stability, and attractive pricing. The fund uses a disciplined, bottom-up approach that blends thorough fundamental research with unique quantitative tools to identify companies with strong long-term growth potential while aiming to reduce overall market volatility and protect against losses. By focusing on the inherent risk and return of each investment rather than comparing to a benchmark, AB Low Volatility Equity strives to deliver steady capital growth for investors over the medium to long term.

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Tags:
msci world low volatility developed and emerging markets

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