Alliancebernstein income fund acg fact sheet

AllianceBernstein Investment Management Australia Limited (ABN 58 007 212 606, AFSL 230 683) (“ABIMAL”) is the responsible entity of the AllianceBernstein Dynamic Global Fixed Income Fund (ARSN 165 810 686) (“Fund” or “AB Dynamic Global Fixed Income Fund”) and is the issuer of units in the Fund.

ACG Dividend History & Description — AllianceBernstein Income Fund Inc AllianceBernstein Income Fund is registered as a diversified, closed-end management investment company. The Fund's investment objective is to provide current income consistent with the preservation of capital.

Monthly Fact Sheet Auust 31, 2018 AB GLOBAL HIGH INCOME FUND PERFORMANCE OBJECTIVE + The AB Global High Income Fund (the “Fund”) aims to achieve income returns in excess of the Australian cash rate fees over the cycle. WHO SHOULD CONSIDER INVESTING IN THIS FUND? + Investors with higher risk tolerances. Europe & Middle East. {{item.country}} {{item.country}} AllianceBernstein Investment Management Australia Limited (ABN 58 007 212 606, AFSL 230 683) is the responsible entity of the AllianceBernstein Managed Volatility Equities Fund – MVE Class (ARSN 099 739 447), the AllianceBernstein Global Equities Fund (ARSN 099 296 607) and the AllianceBernstein Dynamic Global Fixed Income Fund (ARSN 165 810 686) (together the “Funds”) and issues units ...

Performance charts for AB Income Fund (ACG) including intraday, historical and comparison charts, technical analysis and trend lines. ... AllianceBernstein Investments Inc 1345 Avenue of the ... The Portfolio will limit its investment in non-USD denominated fixed income securities to 10% of its net assets. Monthly Income Plan. With the change of the Underlying fund, the Fund name has been changed to Prulink Dynamic Income Fund. With the change, the benchmark of Prulink Dynamic Income Fund was changed from the 12 month SGD Fixed Deposit Rate to the (50% JP Morgan Asia Credit Index and 50% ICE BofAML US High Yield Constrained Index-Hedged to SGD). The Portfolio will limit its investment in non-USD denominated fixed income securities to 10% of its net assets. Portfolio Statistics Net Assets $26,921.71 million Average Duration (Years) 4.51 Average Credit Quality A-Yield to Worst 4.11% Total # of Holdings 1,342