Name
ISIN
  Type of yield
Currency
Investment company Repurchase p.
Date
Perf. 3M Perf. 1Y Perf. 3Y Perf. 5Y SR (1Y)
Vola. (1Y)
 
AB SICAV I Global Low Carbon Equity...
LU2399902076
reinvestment
EUR
AllianceBernstein LU 20.9400
22/01/2025
+6.67% +25.01% - - 2.06
10.86%
AB SICAV I American Growth Pf.C EUR...
LU0511403544
reinvestment
EUR
AllianceBernstein LU 99.1700
22/01/2025
+6.61% +23.82% +28.66% +75.68% 1.29
16.4%
AB SICAV I US Value Portfolio Class...
LU2801276044
reinvestment
EUR
AllianceBernstein LU 17.5800
22/01/2025
+6.61% - - - -
-
AB SICAV I - Global Value Pf.A SGD
LU0289965351
reinvestment
SGD
AllianceBernstein LU 33.3100
22/01/2025
+6.49% +18.16% +16.47% - 1.41
11%
AB SICAV I American Multi-Asset Por...
LU2463030705
reinvestment
EUR
AllianceBernstein LU 19.2300
22/01/2025
+6.48% +19.96% - - 1.96
8.82%
AB SICAV I Concentrated US Equity P...
LU1934454114
reinvestment
GBP
AllianceBernstein LU 26.8000
22/01/2025
+6.48% +18.74% - - 1.32
12.15%
AB SICAV I Select Abs.Alpha Pf.I EU...
LU0787776482
reinvestment
EUR
AllianceBernstein LU 32.0900
22/01/2025
+6.43% +21.55% +31.19% +51.87% 2.29
8.24%
AB SICAV I US Value Portfolio Class...
LU2801275749
reinvestment
EUR
AllianceBernstein LU 17.4700
22/01/2025
+6.39% - - - -
-
AB SICAV I Concentrated Global Equi...
LU1877329307
reinvestment
EUR
AllianceBernstein LU 23.3100
22/01/2025
+6.39% +20.53% - - 1.32
13.51%
AB SICAV I Low Volatility Equity Po...
LU2561636759
paying dividend
EUR
AllianceBernstein LU 20.9400
22/01/2025
+6.35% +23.28% - - 2.06
9.99%
AB SICAV I Low Vol.Eq.Pf.I EUR
LU1998907270
reinvestment
EUR
AllianceBernstein LU 28.7500
22/01/2025
+6.32% +23.23% - - 2.06
9.97%
AB SICAV I American Multi-Asset Por...
LU2463030960
reinvestment
EUR
AllianceBernstein LU 18.8700
22/01/2025
+6.31% +19.20% - - 1.87
8.82%
AB SICAV I American Multi-Asset Por...
LU2463030887
paying dividend
EUR
AllianceBernstein LU 15.9000
22/01/2025
+6.30% +19.18% - - 1.87
8.83%
AB SICAV I Select Abs.Alpha Pf.A EU...
LU0787776219
reinvestment
EUR
AllianceBernstein LU 29.1500
22/01/2025
+6.19% +20.75% +28.19% +46.85% 2.18
8.29%
AB SICAV I Concentrated Global Equi...
LU1174051844
paying dividend
EUR
AllianceBernstein LU 24.3600
22/01/2025
+6.14% +19.47% +10.46% +35.52% 1.24
13.56%
AB SICAV I Low Vol.Eq.Pf.A EUR
LU1998907197
reinvestment
EUR
AllianceBernstein LU 27.4800
22/01/2025
+6.10% +22.24% - - 1.96
9.99%
AB SICAV I China Multi-Asset Portfo...
LU2211951244
reinvestment
USD
AllianceBernstein LU 11.8500
25/11/2024
+5.62% +9.12% - - 0.54
11.34%
AB SICAV I European Growth Portfoli...
LU2760008453
paying dividend
GBP
AllianceBernstein LU 15.0800
22/01/2025
+5.53% - - - -
-
AB FCP I Mortgage Inc.Pf.I EUR
LU1021292450
paying dividend
EUR
AllianceBernstein LU 10.9900
22/01/2025
+5.42% +13.50% - - 1.74
6.21%
AB SICAV I China Multi-Asset Portfo...
LU2211951087
reinvestment
USD
AllianceBernstein LU 11.4700
25/11/2024
+5.42% +8.21% - - 0.46
11.29%
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