AB Emerging Markets Debt Portfolio
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Objective

  • The Portfolio’s investment objective is to maximize total returns from price appreciation and income.

Portfolio Management Team




Pricing & Performance

  1. Cumulative Performance
  2. Calendar Year Performance
  3. Annual Performance
  4. Growth of Investment
  5. Daily Statistics

Past performance is not indicative of future results. All performance figures are as of the previous month’s end and are calculated based on the latest unit NAV.

All numbers are annualized based on fiscal year to date expenses paid out of the Portfolio. The Management Fee is an effective fee that is based on a tiering schedule and calculated as an annualised figure based on fiscal year-to-date accruals. You may have to pay other fees when dealing in shares of the Portfolio. Please refer to the prospectus or key documents for a complete description of expenses and any tiering schedules.

Refer to prospectus or key documents for complete description of expenses.



Fund Literature