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NO
ABFUNDS LOW VOLATILITY INVESTING

Utilizing A Diversified
Approach to Achieve
Better Investment
Returns

As markets evolve, so do the investment challenges. Implementing a multi-asset strategy reduces volatility, allowing greater flexibility for price discovery across traditional and emerging investment products, including equities, bonds, and alternative assets.
BE PREPARED

How Does A Multi-Asset Strategy Meet Different Kinds of Investment Needs?

Offering a diversified investment portfolio that can deliver capital growth

A multi-asset strategy captures the potential growth opportunities across a wider selection of investments, including equities, bonds, and alternative assets.

Weathering different market conditions

Taking an active, multi-asset approach across asset classes can help to smoothen the impact of market volatility and reduce the likelihood of sharp drawdowns.

Providing a stable stream of income

With inflation at elevated levels, generating an attractive income in today’s environment can be challenging. A multi-asset investment strategy helps to combat this issue, by harvesting income from a variety of sources, including dividends, bond coupons, preferred stocks, REITs, mortgage securities and other non-traditional sources.

Our Global Resources Bring You a Clearer Investment Lens

With over 50 years of multi-asset management experience, AllianceBernstein’s (AB) 56 multi-asset investment professionals and 215 cross-asset research analysts across the globe are committed to providing holistic multi-asset investment solutions for clients.

DAA Monitors and Manages Portfolio Dynamically

Dynamic Asset Allocations As Market Conditions Change

Economic recovery with
low interest rates More equities;
less bonds
Economic recession
with rate cuts Balance between
equities and bonds
Economic expansion with
rate hikes More bonds;
less equities

DAA stands for Dynamic Asset Allocation.

Introduced in 2010, AB’s Dynamic Asset Allocation Strategy incorporates six major factors while emphasizing flexible, market-based asset allocations. The strategy is utilised across our multi-asset portfolios, informing asset allocation decisions that can help mitigate market volatility while improving risk-adjusted returns.

For Illustrative purposes only.

Well-recognised AB Multi-Asset Capabilities

AB strives to promote a wide range of products, including onshore and offshore multi-asset funds.

1. Source: Asia Asset Management, as of 31 March 2020
2. Source: Refinitiv Lipper Fund, as of 31 December 2021. Awards are assessed by Lipper based on performance of AB's Mixed Assets sector.

GO BEYOND TRADITIONAL WITH A DIVERSIFIED APPROACH

TO ACHIEVE BETTER INVESTMENT OUTCOMES

AB Multi-Asset Strategies: Meeting Different Investment Needs

AB Multi-Asset Strategies: Meeting Different Investment Needs

MULTI-

ASSET

AB All Market Income Portfolio

Seeks to increase the value of your investment over time through a combination of income and capital growth.

Read More

AB Emerging Markets Multi-Asset Portfolio

Seeks to increase the value of your investment over time through a combination of income and capital growth while seeking to moderate volatility.

Read More

AB Dynamic Diversified Portfolio

Seeks long-term growth of capital with moderate volatility by investing in a multi-asset fund that dynamically adjusts investment exposures.

Read More

Other Investment Themes You Might be Interested In