Funds performance

fund namesort icon 1 mth 3 mth 12 mth ytd Inception Net assets Return Date
AB Glbl Style Blend SICAV USD S1 -0.57% 0.45% 17.94% 0.45% 13.13% 58753957 2014-03-31
AB Global Equity Blend S -2.72% -0.68% 24.15% 4.94% -0.53% 891107021 2011-05-31
AB Global Equity Blend S1 -2.76% -0.84% 23.36% 4.68% 3.01% 891107021 2011-05-31
AB SICAV Asia-Pacific Income S 1.38% 2.92% -0.86% 2.92% 3.96% 58310855 2014-03-31
AB SICAV Asia-Pacific Income S1 1.33% 2.77% -1.48% 2.77% 3.23% 58310855 2014-03-31
AB SICAV Emerg Mkt Lcl Ccy Dbt S1$ Acc -0.68% -1.35% -9.94% -9.94% -1.52% 14775461 2013-12-31
AB SICAV Emg Mkt Corp Dbt S USD Acc 0.86% 3.24% 0.98% 3.24% 7.85% 84922939 2014-03-31
AB SICAV Emg Mkt Corp Dbt S1 USD Acc 0.88% 3.11% 0.29% 3.11% 7.12% 84922939 2014-03-31
AB SICAV Emg Mkt Lcl Ccy Dbt S$ Acc 3.07% 2.37% -7.35% 2.37% 0.41% 15127873 2014-03-31
AB SICAV Euro High Yield I 2.42% 1.60% 5.69% 14.21% 6.95% 44351957 2012-07-31
AB SICAV Euro High Yield I2 2.38% 1.50% 5.58% 14.13% 6.98% 44351957 2012-07-31
AB SICAV Euro High Yield S 0.56% 2.94% 13.22% 2.94% 11.71% 150652747 2014-03-31
AB SICAV Euro High Yield S1 0.53% 2.83% 12.57% 2.83% 11.07% 150652747 2014-03-31
AB SICAV European Flexible Eq Port I 0.39% -0.71% 2.46% 2.67% 1.77% 3695314 2012-07-31
AB SICAV European Flexible Eq S -0.33% 1.33% 7.41% 1.33% 6.44% 3695314 2014-03-31
AB SICAV European Flexible Eq S1 -0.34% 1.04% 5.97% 1.04% 5.13% 3695314 2014-03-31
AB SICAV Glbl Real Estate Sec I 0.41% 4.36% 31.57% 8.87% 6.02% 31437461 2011-05-31
AB SICAV Global Discovery Equity Port I 2.92% 3.60% 18.94% 18.94% 13.88% 5829443 2012-12-31
AB SICAV Global Discovery Equity S -1.14% 1.76% 16.90% 1.76% 19.12% 223659 2014-03-31
AB SICAV Global Discovery Equity S1 -1.25% 1.52% 15.89% 1.52% 18.10% 223659 2014-03-31
AB SICAV Global Plus FI 2 EUR Hdg Acc 0.19% 2.49% 0.90% 2.49% 4.71% 321881492 2014-03-31
AB SICAV Global Plus FI 2 GBP Hdg Acc 0.18% 2.49% 1.25% 2.49% 5.57% 266103666 2014-03-31
AB SICAV Global Plus FI 2 USD Acc 0.18% 2.45% 1.05% 2.45% 5.21% 443631805 2014-03-31
AB SICAV Global Plus FI S GBP Hdg Acc 0.26% 2.66% 1.95% 2.66% 6.52% 266103666 2014-03-31
AB SICAV Global Plus FI S1 EUR Hdg Acc 0.14% 2.50% 1.16% 2.50% 5.34% 321881492 2014-03-31
AB SICAV Global Plus FI S1 GBP Hdg Acc 0.17% 2.54% 1.54% 2.54% 6.07% 266103666 2014-03-31
AB SICAV Global Plus FI S1 NOK Hdg Acc 0.28% 2.88% 2.37% 2.88% 6.78% 2656045798 2014-03-31
AB SICAV India Growth I -3.46% 6.65% 10.30% -7.98% 24.51% 354098737 2011-05-31
AB SICAV International Technology I USD -1.96% 0.36% 32.86% 8.16% 10.95% 243611895 2011-05-31
AB SICAV Real Asset S USD 0.78% 2.86% 1.93% 2.86% 7.54% 29650175 2014-03-31

Upcoming events

Upcoming training

Mon, 12/05/2014 (All day) - Dubai
Tue, 13/05/2014 (All day) - Dubai