AB FCP I American Inc.Pf.BT CAD H (LU0625944037)

Wertentwicklung

Eckdaten

Allgemeine Fondsdaten

ISIN
LU0625944037
WKN
AIP006
Währung
Canadian Dollar
Ausschüttungsart
Ausschüttend
Ausschüttungsintervall
monatlich
Fondsvolumen
17125.13 Mio. USD
Auflagedatum
26.05.2011
Geschäftsjahresbeginn
1. September
KAG
AllianceBernstein (Luxembourg) SARL
Domizil
Luxemburg
Depotbank
Brown Brothers Harriman (Luxembourg) S.C.A.
Fondsmanager
Scott DiMaggio, Gershon M. Distenfeld, Fahd Malik, Matthew Sheridan

Fokus, Kosten und Bewertung

Kategorie
Anleihen, Gemischt
Region
Global
Maximaler Ausgabeaufschlag
3%
Mindestkaufvolumen
CA$ 2.000,00
Risiko-Ertrags-Profil
SRI 3
Nachhaltigkeit EDA-Score
65
Der Fonds strebt an, eine hohe Rendite für Ihre Anlage zu erwirtschaften - und zwar sowohl durch die Erzielung von Erträgen als auch die Erhöhung des Werts Ihrer Anlage auf lange Sicht. Unter normalen Umständen investiert der Fonds mindestens 50% seiner Vermögenswerte in Schuldtitel mit höherem Rating (Investment Grade), die von Regierungsstellen und Unternehmen in den USA begeben werden. Ungeachtet der vorgenannten Ausführungen kann der Fonds bei bestimmten Marktlagen über 50% seiner Vermögenswerte in Schuldtitel mit niedrigerem Rating (unter Investment Grade), die entsprechend riskanter sind, investieren. Bis zu 35% des Gesamtvermögens des Fonds kann in Wertpapiere von Emittenten mit Sitz außerhalb der USA (einschließlich Schwellenländern) fließen. Der Fondsmanager verändert die Mischung aus Wertpapieren längerer und kürzerer Laufzeit, um von ihm erstellte Zinsprognosen zu berücksichtigen.

So wird investiert

Anlageklassen

Länder

Emittenten

Laufzeiten

Währungen

Top-Ten Titel

USA 22/27
6,95%
US TREASURY 2030 15.5.
5,27%
US TREASURY 2029 15.08
3,71%
FED.NATL MTGE ASS. 2030
2,57%
US TREASURY 2027 15.11
2,30%
AB SICAV I - Asia Income Opportunities Portfolio - Class ZT
1,62%
USA 22/32
1,45%
US TREASURY 2025 15.02
1,41%
GNMA2 30YR TBA(REG C)
1,24%
FED.NATL MTGE ASS. 00/30
1,15%

Gleicher Fonds mit unterschiedlichen Kosten

73 Tranchen Kosten
AB FCP I American Income Portfolio Class B2
ISIN
LU0095030648
WKN
926164
2,06%
AB FCP I American Income Portfolio Class B
ISIN
LU0044957990
WKN
974199
2,06%
AB FCP I American Income Portfolio Class BT
ISIN
LU0157312140
WKN
AIP005
2,06%
AB FCP I American Income Portfolio Class J
ISIN
LU0091433606
WKN
986970
2,06%
AB FCP I American Income Portfolio Class N2
ISIN
LU0838494440
WKN
A12ANN
1,91%
AB FCP I American Income Portfolio Class NT
ISIN
LU0838494796
WKN
A3CP4B
1,91%
AB FCP I American Income Portfolio Class C2 EUR H
ISIN
LU0592505662
WKN
A1JSGB
1,87%
AB FCP I American Income Portfolio Class C2
ISIN
LU0054548911
WKN
974200
1,81%
AB FCP I American Income Portfolio Class C2
ISIN
LU0232526433
WKN
A0LBEW
1,81%
AB FCP I American Income Portfolio Class C
ISIN
LU0044958022
WKN
972963
1,81%
AB FCP I American Income Portfolio Class C
ISIN
LU0232526359
WKN
A12DTA
1,81%
AB FCP I American Income Portfolio Class CT
ISIN
LU0447424622
WKN
AIP004
1,81%
AB FCP I American Income Portfolio Class AA RMB H
ISIN
LU1069766787
WKN
A3CQA4
1,56%
AB FCP I American Income Portfolio Class AT RMB H
ISIN
LU0778786706
WKN
A3CP21
1,56%
AB FCP I American Income Portfolio Class A2 PLN H
ISIN
LU1417865711
WKN
A3CQD8
1,51%
AB FCP I American Income Portfolio Class AA ZAR H
ISIN
LU1035780607
WKN
A3CP8B
1,46%
AB FCP I American Income Portfolio Class AA NZD H
ISIN
LU1069345418
WKN
A3CQAX
1,44%
AB FCP I American Income Portfolio Class AT NZD H
ISIN
LU0805981734
WKN
A3CP32
1,44%
AB FCP I American Income Portfolio Class A2 CHF H
ISIN
LU0838494879
WKN
A2DW91
1,44%
AB FCP I American Income Portfolio Class A2 SGD H
ISIN
LU0592505746
WKN
A2P3HT
1,43%
AB FCP I American Income Portfolio Class AT SGD H
ISIN
LU0592505829
WKN
A2PR05
1,43%
AB FCP I American Income Portfolio Class AA SGD H
ISIN
LU1035780433
WKN
A3CP8A
1,43%
AB FCP I American Income Portfolio Class AT AUD H
ISIN
LU0511406216
WKN
A1XDSV
1,43%
AB FCP I American Income Portfolio Class AA AUD H
ISIN
LU1008671841
WKN
A3CP60
1,43%
AB FCP I American Income Portfolio Class AA CAD H
ISIN
LU1069345251
WKN
A3CQAW
1,42%
AB FCP I American Income Portfolio Class AA EUR H
ISIN
LU1069345509
WKN
A3CQAY
1,42%
AB FCP I American Income Portfolio Class A2 EUR H
ISIN
LU0592505589
WKN
A1JR0X
1,42%
AB FCP I American Income Portfolio Class AK EUR H
ISIN
LU0871809488
WKN
A3CP5G
1,42%
AB FCP I American Income Portfolio Class AT EUR H
ISIN
LU0539799634
WKN
A1J81P
1,42%
AB FCP I American Income Portfolio Class AR EUR H
ISIN
LU1165976918
WKN
A14PHY
1,42%
AB FCP I American Income Portfolio Class AT CAD H
ISIN
LU0592505407
WKN
A2APFU
1,42%
AB FCP I American Income Portfolio Class AA GBP H
ISIN
LU1069345335
WKN
A12D1N
1,42%
AB FCP I American Income Portfolio Class AT GBP H
ISIN
LU0689625878
WKN
A2JNW2
1,42%
AB FCP I American Income Portfolio Class A2 DUR PH
ISIN
LU0947645726
WKN
A12AGX
1,36%
AB FCP I American Income Portfolio Class A2
ISIN
LU0095030564
WKN
933576
1,36%
AB FCP I American Income Portfolio Class A2
ISIN
LU0232525203
WKN
A0JMH8
1,36%
AB FCP I American Income Portfolio Class A2
ISIN
LU0289924598
WKN
A2PR9H
1,36%
AB FCP I American Income Portfolio Class A2
ISIN
LU0417102927
WKN
A3CQLQ
1,36%
AB FCP I American Income Portfolio Class AA DUR PH
ISIN
LU1035779930
WKN
A3CP79
1,36%
AB FCP I American Income Portfolio Class AA
ISIN
LU1008671684
WKN
A3CP6M
1,36%
AB FCP I American Income Portfolio Class AA
ISIN
LU1069345178
WKN
A3CQAA
1,36%
AB FCP I American Income Portfolio Class AK
ISIN
LU0871808910
WKN
A3CP5E
1,36%
AB FCP I American Income Portfolio Class AK
ISIN
LU0871809058
WKN
A3CP5F
1,36%
AB FCP I American Income Portfolio Class A
ISIN
LU0044957727
WKN
974198
1,36%
AB FCP I American Income Portfolio Class A
ISIN
LU0232525039
WKN
A0J3FE
1,36%
AB FCP I American Income Portfolio Class AR
ISIN
LU1165976835
WKN
A14PHX
1,36%
AB FCP I American Income Portfolio Class AT DUR PH
ISIN
LU0947646294
WKN
A2ACU4
1,36%
AB FCP I American Income Portfolio Class AT
ISIN
LU0157308031
WKN
A0LEC5
1,36%
AB FCP I American Income Portfolio Class AT
ISIN
LU0289924671
WKN
A0PAAA
1,36%
AB FCP I American Income Portfolio Class AT
ISIN
LU0328307227
WKN
A0PAAB
1,36%
AB FCP I American Income Portfolio Class AT
ISIN
LU0417103065
WKN
A1JQJ8
1,36%
AB FCP I American Income Portfolio Class IT RMB H
ISIN
LU1014773714
WKN
A3CP7H
1,06%
AB FCP I American Income Portfolio Class IT NZD H
ISIN
LU1309713854
WKN
A3CQDJ
0,90%
AB FCP I American Income Portfolio Class I2 CHF H
ISIN
LU0838495090
WKN
A3CP4L
0,89%
AB FCP I American Income Portfolio Class IT SGD H
ISIN
LU0897863550
WKN
A3CP5S
0,88%
AB FCP I American Income Portfolio Class I2 SGD H
ISIN
LU1309713003
WKN
A3CQC5
0,88%
AB FCP I American Income Portfolio Class IT JPY H
ISIN
LU0897863634
WKN
A3CP5Z
0,88%
AB FCP I American Income Portfolio Class IT AUD H
ISIN
LU0897863477
WKN
A3CP5R
0,88%
AB FCP I American Income Portfolio Class I2 AUD H
ISIN
LU0511406489
WKN
A3CP09
0,88%
AB FCP I American Income Portfolio Class IA AUD H
ISIN
LU1309713185
WKN
A3CQDD
0,88%
AB FCP I American Income Portfolio Class IT EUR H
ISIN
LU1309713698
WKN
A3CQDF
0,88%
AB FCP I American Income Portfolio Class I2 EUR H
ISIN
LU0539800077
WKN
A1H67S
0,87%
AB FCP I American Income Portfolio Class IT CAD H
ISIN
LU1309713342
WKN
A3CQDE
0,87%
AB FCP I American Income Portfolio Class IT GBP H
ISIN
LU1309713771
WKN
A2QCAZ
0,87%
AB FCP I American Income Portfolio Class I2
ISIN
LU0249548461
WKN
A0JM45
0,81%
AB FCP I American Income Portfolio Class I2
ISIN
LU0249549436
WKN
A0JM46
0,81%
AB FCP I American Income Portfolio Class I2
ISIN
LU1309712963
WKN
A3CQCV
0,81%
AB FCP I American Income Portfolio Class IA
ISIN
LU1309713268
WKN
A3CQDP
0,81%
AB FCP I American Income Portfolio Class I
ISIN
LU0079475934
WKN
986976
0,81%
AB FCP I American Income Portfolio Class I
ISIN
LU0232526789
WKN
A0JMJA
0,81%
AB FCP I American Income Portfolio Class IT
ISIN
LU0871809306
WKN
A3CP45
0,81%
AB FCP I American Income Portfolio Class IT
ISIN
LU0897863048
WKN
A3CP5Q
0,81%
AB FCP I American Income Portfolio Class IT
ISIN
LU0897863121
WKN
A3CP50
0,81%