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AllianceBernstein - Global Conservative Portfolio (USD) A2
Last NAV
USD
 
26.52
(Last Update : 2024/10/30)
1-Month return
 
-0.82%
Fund House AllianceBernstein Hong Kong Ltd
Fund Type Balanced Funds
Fund Size
 
40.91M
Sector General
Geographic Allocation Global
 
Fund Investment Objective & Strategy
The Portfolio seeks to achieve a high total return without, in the opinion of the Investment Manager, undue risk to principal. The strategy is designed for investors who seek some opportunities for equity returns if the related risks are broadly diversified and overall portfolio volatility reflects a preponderance of debt securities.
 
 
Key Risks
Risk in investing in financial derivative instruments: The Portfolio is entitled to use derivative instruments for hedging and efficient portfolio management purposes which may involve additional risks. In adverse situations, the Portfolio's use of derivative instruments may become ineffective in hedging or efficient portfolio management and the Portfolio may suffer significant losses. Fixed Income Securities Risk - General: The Portfolio will invest in fixed-income securities where their value will change in response to fluctuations in interest rates and currency exchange rates, as well as changes in credit quality of the issuer. Credit Risks - General: The Portfolio will invest in fixed-income securities (including bonds) issued by companies and other entities and the Portfolio will be subject to the risk that a particular issuer may not fulfill its payment or other obligations in respect of such fixed-income securities. Country Risk - General: Investments in issuers located in a particular country or geographic region may have more risk because of particular market factors affecting that country or region, including political instability or unpredictable economic conditions. Currency Risk: Investing in global securities includes fluctuations in currency exchange risk, which may negatively affect the value of the investment or reduce returns. Equity Securities Risk: The value of equity investments may fluctuate, sometimes dramatically in response to the activities of individual companies or because of general market and economic conditions etc.
 
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