How Can Systematic Fixed Income Add Value for You?

10 September 2024
3 min watch

Bernd Wuebben spells out how AB’s systematic fixed-income strategies aim to outperform their benchmarks but with similar volatility. He explains how these strategies can offer low correlation with traditional fixed income, to enhance portfolio diversification and risk-adjusted returns. By leveraging innovative technology and a broader range of factors, they can capture differentiated market signals and help manage downside risk more effectively.

Past performance, historical and current analyses, and expectations do not guarantee future results.

The views expressed herein do not constitute research, investment advice or trade recommendations and do not necessarily represent the views of all AB portfolio-management teams. Views are subject to revision over time.


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