AB (HK) Global High Yield Portfolio (RMB-H)(A2)(Acc)
|
Product Risk Rating |
4 |
Fund Type
|
Bond Fund
|
Fund Code
|
ACM8330738
|
|
Investment Objective
|
Income Focused/Capital Appreciation
|
Category
|
Asia/Emerging Market/High Yield Bond
|
Performance History
(as of
31/10/2025)
Growth Chart
(USD)
Fund:
AB (HK) Global High Yield Portfolio (RMB-H)(A2)(Acc)
Morningstar Category:
Other Bond
Morningstar Index:
-
Fund
|
7.34% |
-19.50% |
6.51% |
0.90% |
7.29% |
+/-Cat
|
4.85% |
-8.16% |
-4.97% |
-5.85% |
- |
+/-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.
|
Morningstar® Category
|
Morningstar Rating™
|
|
Other Bond
|
 |
|
ISIN
|
NAV
|
|
HK0000258258
|
CNH
153.50
|
|
|
(as of
06/11/2025)
|
|
Day Change
|
Total Net Assets(mil)
|
|
0.07%
|
USD
10.47
|
|
|
(as of
31/10/2025)
|
|
Subscription Fee
|
Total Expense Ratio
|
|
(Please refer to offering documents)
|
1.85%
|
|
Manager Name
|
Redemption Fee
|
|
Gershon M. Distenfeld
|
|
Matthew S. Sheridan
|
|
Fahd Malik
|
|
Christian DiClementi
|
|
Will Smith
|
|
(Please refer to offering documents)
|
|
Inception Date
|
|
|
31/08/2015
|
|
|
|
Last Update
|
Fund
|
+/- Index
|
|
YTD
|
06/11/2025
|
7.03%
|
-
|
|
1 Year
|
06/11/2025
|
5.23%
|
-
|
|
3 Year Cumulative
|
31/10/2025
|
25.71%
|
-
|
|
5 Year Cumulative
|
31/10/2025
|
11.00%
|
-
|
|
10 Year Cumulative
|
31/10/2025
|
36.56%
|
-
|
|
Dividend Yield
|
31/10/2025 |
|
0.00%
|
Fund Benchmark
-
Morningstar® Benchmark
-
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
28/02/2025)
|
Top 5 Holdings
|
|
|
AB FCP I - Global High Yield Portfolio
|
|
|
Sector |
%
|
-
|
100.35
|
|
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.