The market landscape has seen big changes: How can investors get the most out of their portfolios while defending in down markets? Find out how a better up/down capture has the potential to improve long-term outcomes.

The Prescription: Three Keys to a Better Return Path

What drives long-term investment success? It’s not how much return you get but how effective your return path is. Find out more about the three keys to creating a better return sequence:

  • Find Better Beta Sources
  • Design a More Efficient Portfolio Structure
  • Seek Targeted Alpha Sources

A long, beta-driven equity rally drove big inflows into passive investing while active managers struggled. But a story within the story could change the way you think about active and passive. Find out why active management still belongs in the equation.

From Beta to Alpha: Why It Could Pay to Be the Last Active Investor Standing
  • Being a truly active manager has worked over time.
  • Passive investing has benefits—but crowding risk is growing.
  • Today's market environment seems to favor active.
Does Your Portfolio's Design Match Your Views?

Our equity factor analysis can help you determine if the mix of return drivers in your portfolio fully reflects your assessment of the macro and market environment.

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Download Fact Sheets for Funds That Align with Your Outlook

Optimistic Unclear Defensive
Thematic Small/Mid Cap Large Cap Hedged Equities
AB Sustainable Global Thematic AB Discovery Growth AB Large Cap Growth AB Select US Long/Short Portfolio
AB FlexFee US Thematic AB Discovery Value AB FlexFee Large Cap Growth

The search for income is getting harder. There's no shortage of suggestions on where to get more income, but there's not much talk about the cost. How can you create more efficient income?

Building the "Perfect" Income Solution
  • Reaching for income can increase drawdown risk.
  • Better up/down capture can make income more efficient.
  • How much income do you need—and at what cost?
The Best of Efficient Income

Download Fact Sheets for Funds That Meet Your Income Needs

Core Balanced Income High Income Income with Growth
Global Hedged Barbell Strategy Global Multi-Sector High Income Global Multi-Asset Income
AB Global Bond AB Income AB High Income AB All Market Income

Equity Factor Analysis

Get a detailed portfolio diagnostic, using a proprietary multifactor regression analysis and a holding-based historical analysis.


My Equity Outlook that Influences My Client Portfolio Construction Is Mainly:

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