AB SICAV I - Low Volatility Equity Portfolio I SGD H Acc header image

AB SICAV I - Low Volatility Equity Portfolio I SGD H Acc

Fund

ISIN LU1037949515 / Valor 24068153

NAV (2024-12-24)
SGD 38.38+0.68%

AB SICAV I - Low Volatility Equity Portfolio I SGD H Acc
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General Objective

The Fund aims to increase the value of investments over time through capital growth.

Fund Exposure

Under normal market conditions, the Fund typically invests in equity securities of companies in developed countries and emerging markets, with a focus on lower volatility. The Fund may be exposed to any currency and uses derivatives for hedging and efficient portfolio management.

Risks

Investors should be aware of the risks associated with investing in equities, emerging markets, and currency fluctuations. Additionally, the Fund's use of derivatives for hedging and other purposes may introduce additional risks.

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Source

https://www.alliancebernstein.com/de/de/adviser/funds/equities/ab-low-volatility-equity.a.LU0861579265.html

Tags:
msci world low volatility developed and emerging markets

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