Boutique-Like Focus. Global Reach and Network.
An expansive, integrated ecosystem that supports diverse thinking and better outcomes
40 portfolio managers with an average 26 years of experience average*
*As of 30 June 2025.
99 quantitative and fundamental analysts with an average 16 years of experience*
Diverse Access to Value
Our global teams have a long history of investing, giving them the skills and judgement to navigate shifting market environments with confidence.
AB All China Equity Portfolio
AB China A Shares Equity Portfolio
AB Asia Ex-Japan Equity Portfolio
AB India Growth Portfolio
AB Emerging Markets Growth Portfolio
AB Emerging Markets Value Portfolio
AB Emerging Markets Low Volatility Equity Portfolio
AB European Equity Portfolio
AB European Growth Portfolio
AB Eurozone Equity Portfolio
AB Concentrated Global Equity Portfolio
AB Global Equity Blend Portfolio
AB Global Low Carbon Equity Portfolio
AB Global Value Portfolio
AB International Technology Portfolio
AB Low Volatility Total Return Equity Portfolio
AB Global Core Equity Portfolio
AB Global Growth Portfolio
AB Global Real Estate Securities Portfolio
AB International Health Care Portfolio
AB Low Volatility Equity Portfolio
AB Sustainable Global Thematic Portfolio
AB American Growth Portfolio
AB Select US Equity Portfolio
AB US Low Volatility Equity Portfolio
AB US Value Portfolio
AB Concentrated US Equity Portfolio
AB Sustainable US Thematic Portfolio
AB US Small and Mid-Cap Portfolio
The value of an investment can go down as well as up and investors may not get back the full amount they invested. Capital is at risk. There can be no assurance that any investment objectives will be achieved.