Every insurance client has unique needs and risk/return objectives, so we’ve developed an expansive range of strategies across the investing spectrum.
Multi-Sector Insurance: A Holistic Approach to Portfolio Management
AB's Multi-Sector Insurance strategy combines insurance-sensitive portfolio management with a liability-driven, asset-focused investment approach. Leveraging expertise across public and private markets, the strategy seeks to identify relative value opportunities and build resilient portfolios aligned with insurer objectives.
Fixed Income
Embracing the New Core
Multi-Sector Insurance
Investment-Grade Credit
Emerging Market Debt
Corporates, Sovereigns, Blend
Hard & Local Currency
Investment-Grade or High Yield
High Yield
Global, US & Regional
Low-Volatility (BB/B)
Securitized Assets
Systematic Fixed Income
Municipals
Taxable
Tax-Exempt
Sustainable Strategies
Responsible Buy & Maintain
Sustainable EMD
Sustainable Thematic Credit
US, Global
Private Markets
Tapping the Illiquidity Premium
US Commercial Real Estate Debt
Core
Core-Plus
Value-Add
European Commercial Real Estate Debt
Senior/Whole Loans
Subordinate Loans
Preferred Equity
Private Credit
IG Private Placements
Middle Market Direct Lending
NAV Lending
Digital Infrastructure & Services
AB CarVal
Distressed / Opportunistic
Renewable Energy Infrastructure
Specialty Finance
Transportation
Residential Mortgage Solutions
Equities
Enhancing Equity Exposure
Geography
Global
International
US
Emerging Markets
Regional Non-US
Australia, Europe, Japan
Style
Growth
Value
Blend
Capitalization
Small
SMID
Mid
Large
Sustainable Strategies
Global Climate Transition
Sustainable Climate Solutions
Sustainable Thematic Equity
US, Global, International
Responsible Investing
Commitment Is Not Passive
Fixed Income
Municipal Impact
Responsible Buy & Maintain
Sustainable EMB
Sustainable Income
Sustainable Thematic Credit
US & Global
Equities
1.5 Degrees
Global Climate Transition
Sustainable Climate Solutions
Sustainable Thematic Equity
US & Global
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. Past performance does not guarantee future results.
AB Dimensions | Residential Mortgage Loans
A more considered approach to mortgage credit for insurance portfolios.