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Morningstar® Fund Report™
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Overview
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AB (HK) Global High Yield Portfolio (RMB-H)(AA)(Mdis-Cash)
Product Risk Rating 4 Fund Type Bond Fund Fund Code ACC8330737
Investment Objective Income Focused/Capital Appreciation Category Asia/Emerging Market/High Yield Bond
Performance History
(as of 30/06/2024)
Growth Chart (USD)
Fund: AB (HK) Global High Yield Portfolio (RMB-H)(AA)(Mdis-Cash)
Morningstar Category: Other Bond
Morningstar Index: -
Fund 10.64% 7.35% -19.49% 6.50% -1.25%
+/-Cat 5.44% 4.85% -8.15% -4.98% -
+/-Idx - - - - -
The initial value is set at 100. Performance figures are based upon NAV to NAV or bid to bid prices with dividend reinvested in USD.
Key Stats
Morningstar® Category Morningstar Rating™
Other Bond
ISIN NAV 
HK0000258241 CNH  62.78
  (as of 17/07/2024)
Day Change Total Net Assets(mil)
-0.03% USD  10.00
  (as of 28/06/2024)
Subscription Fee Total Expense Ratio
(Please refer to offering documents) 1.85%
Manager Name Redemption Fee
Not Disclosed
(Please refer to offering documents)
Inception Date  
31/08/2015  
Trailing Returns
  Last Update Fund +/- Index
YTD 17/07/2024 0.34% -
1 Year 17/07/2024 6.20% -
3 Year Cumulative 30/06/2024 -13.06% -
5 Year Cumulative 30/06/2024 3.68% -
10 Year Cumulative 30/06/2024 - -
Dividend Yield 30/06/2024   7.75%
Dividend yield is the dividend amount declared over the past twelve months as a percentage of the last month-end fund unit price, shown in 2 decimal places.
Benchmark
Fund Benchmark
-
Morningstar® Benchmark
-
Product Focus
The investment objective of the underlying scheme is to achieve long-term capital growth by investing is to produce high current income as well as overall total return by investing primarily in a portfolio of high yielding debt securities of issuers located throughout the world, including U.S. issuers and issuers in emerging market countries.
Portfolio Profile
(as of 31/08/2023)
Top 5 Holdings  
AB FCP I - Global High Yield Portfolio  
Sector %
- 99.95
Fund prices are updated every weekday after the close of trading and before 11pm (GMT) wherever possible. Performance figures are denominated in USD. Fund returns are based upon NAV to NAV or bid to bid prices with dividend reinvested.
For the details of fund fees and charges, please refer to the offering documents of respective investment funds. If you have any enquiry, please contact our staff members at a branch with Investment Service Section.