AB Global Plus Fixed Income Portfolio

Strategy

Seeks high total investment return by:

  • Investing primarily in investment grade debt securities and opportunistically in non-investment grade debt

  • Applying a global multi-sector approach designed to maximize opportunities, including investment in government and corporate debt

  • Drawing on a large global team to evaluate the top-down factors influencing markets as well as the bottom-up factors affecting bond prices

Portfolio Management Team

26 Years at AB
32 Years of Experience
24 Years at AB
26 Years of Experience
18 Years at AB
22 Years of Experience



Pricing & Performance

  1. Annual Performance
  2. Calendar Year Performance
  3. Growth of Investment
  4. Daily Statistics

The Portfolio uses the benchmark shown for comparison purposes only. The Portfolio is actively managed and the Investment Manager is not constrained by its benchmark when implementing the Portfolio’s investment strategy.

Ongoing charges include fees and certain expenses of the Portfolio as of the most recent KIID, and may be subject to a cap which is reflected above if applicable.


Complete Portfolio of Holdings

Holdings are subject to change without notice.



Investment Risks to Consider

These and other risks are described in the Fund’s prospectus

Investment returns and principal value of the Fund will fluctuate so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Some of the principal risks of investing in the Fund include:

  • Corporate debt obligations risk
  • Derivatives risk
  • Emerging-markets risk
  • Fixed-income securities risk
  • Focused portfolio risk
  • Lower-rated and unrated instruments risk
  • OTC derivatives counterparty risk
  • Sovereign debt obligations risk


Fund Literature