Strong Return Potential
Seeks to generate attractive financial returns through investments that contribute to positive social and environmental outcomes
Investing for a Better World
Invests exclusively in a global universe of well-managed companies that are aligned with the UN Sustainable Development Goals
ESG integration
At all steps of the investment process improves fundamental analysis. Active ownership with emphasis on ESG issues positively influences management behavior
Excellence in Sustainable Investing
Our Portfolio is externally recognized for excellence in sustainable investing: awarded both the LuxFLAG ESG Label* and the French Finance Ministry’s Label ISR certification
Firmwide Commitment to Responsible Investing
At AB, we’ve embraced responsible investing in spirit and practice, making it a key facet of our investment process and a central component of our firm’s identity
Equity Securities Risk:
The value of equity investments may fall as well as rise and you may get back less than you originally invested
Emerging-Markets Risk:
Where the Portfolio invests in emerging markets, these assets are generally smaller and more sensitive to economic and political factors, and may be less easily traded, which could cause a loss to the Portfolio
Derivatives Risk:
The Portfolio may include financial derivative instruments. These may be used to obtain, increase or reduce exposure to underlying assets and may create gearing; their use may result in greater fluctuations of the net asset value
Other Risks Include:
Focused portfolio risk, allocation risk, portfolio turnover risk, OTC derivatives counterparty risk, Real Estate Investment Trust (REIT) risk