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Brighthouse Funds Trust I Ab Global Dynamic Allocation Portfolio Class B (0P0000SGL3)

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10.500 +0.040    +0.38%
21/11 - Delayed Data. Currency in USD
  • Morningstar Rating:
  • Total Assets: 2.6B
Type:  Fund
Market:  United States
Issuer:  MetLife
Asset Class:  Equity
Brighthouse Funds Trust I AB Global Dynamic Alloca 10.500 +0.040 +0.38%

0P0000SGL3 Overview

 
On this page you'll find an in-depth profile of Brighthouse Funds Trust I Ab Global Dynamic Allocation Portfolio Class B. Learn about the key management, total assets, investment strategy and contact information of 0P0000SGL3 among other information.
Category

World Allocation

Total Assets

2.6B

Expenses

0.90%

Inception Date

May 02, 2011

Investment Strategy

The investment seeks capital appreciation and current income. The fund will allocate substantially all of its assets among individual securities, exchange-traded funds ("ETFs") and derivatives. It is expected to have a normal strategic allocation of 55% in global equities, 40% in global bonds and 5% in real estate securities, which is subject to dynamic adjustments. The fund may invest in any type of equity or fixed income security, including common and preferred stocks, warrants and convertible securities, government and corporate bonds, real estate-related securities and inflation-protected securities.

Contact Information

Address Brighthouse
,
United States
Phone -

Top Executives

Name Title Since Until
Alexander Barenboym Portfolio Manager 2021 Now
Biography Portfolio Manager—Dynamic Asset Allocation. Mr. Barenboym has been associated with the Manager in similar capacities since prior to 2009. Senior Vice President of the Adviser, with which he has been associated in a substantially similar capacity since prior to 2014
Caglasu Altunkopru Portfolio Manager 2021 Now
Biography Ms. Altunkopru is a Senior Vice President of the Adviser, with which she has been associated in a substantially similar capacity to her current position since prior to 2016.
Daniel J. Loewy CIO (Chief Investment Officer) 2011 Now
Biography Mr. Loewy is Chief Investment Officer and Head of Multi-Asset Solutions at AllianceBernstein. In addition, Mr. Loewy is Chief Investment Officer for Dynamic Asset Allocation and is a member of the Real Asset Investment Policy Group and Target Date Investment Oversight team at AllianceBernstein. Mr. Loewy has been with AllianceBernstein since 1996. He holds a Bachelor of Science degree in Industrial and Labor Relations from Cornell University and a Master of Business Administration from Columbia University. He is a CFA charterholder.
Brian T. Brugman Portfolio Manager 2016 2021
Biography Brian T. Brugman, is a Senior Vice President of AllianceBernstein L.P, where he has been a Portfolio Manager since May 2011 and was a Senior Quantitative Analyst from June 2007 until May 2011. Prior to joining the AllianceBernstein, he was a graduate researcher at the University of California, Los Angeles beginning prior to 2006.
Vadim Zlotnikov Chief Investment Strategist 2013 2018
Biography Vadim Zlotnikov is Chief Market Strategist, Co-Head of Multi-Asset Solutions and Chief Investment Officer for Systematic and Index Strategies. As Chief Market Strategist, he provides macro and quantitative research that helps identify thematic investment opportunities. As Co-Head of Multi-Asset Solutions, Zlotnikov manages the development and implementation of integrated investment portfolios for the retirement, institutional and retail markets. As CIO for Systematic and Index Strategies, he is responsible for ensuring that individual products meet investment objectives. Zlotnikov served as CIO of Growth Equities from 2008 to 2010. From 2002 to 2008, he was chief investment strategist, responsible for developing portfolio recommendations for the US market and for separate quantitative analysis and money-management research products. Prior to that, he was an analyst covering the PC and semiconductor industries; he launched the technology strategy product in 1996. Before joining the firm in 1992, Zlotnikov spent six years as a management consultant with Booz Allen Hamilton, where he conducted a broad range of strategic and operational studies for technology companies. He also worked for Amoco Technology Company as a director of electronic ventures and spent two years as a research engineer with AT&T Bell Laboratories. He has been named to the Institutional Investor All-America Research Team in the semiconductor components, strategy and quantitative research categories. Zlotnikov holds a BS and an MS in electrical engineering from the Massachusetts Institute of Technology and an MBA from Stanford University. Location: New York
Seth J. Masters Executive Vice President 2011 2013
Biography "Chief Investment Officer—Blend Strategies and Defined Contribution Seth Masters is Chief Investment Officer of Blend Strategies and Defined Contribution (DC) and a Partner at AllianceBernstein. He became CIO of Blend Strategies in 2002 and launched a range of style-blended and asset-allocation services that have since become a significant portion of the firm’s assets. In June 2008, Masters was appointed to head AllianceBernstein’s newly formed DC business unit. He is also responsible for overseeing research on dynamic asset allocation, inflation protection and risk-mitigation strategies. From 1994 to 2002, Masters was CIO of Emerging Markets Value Equities. He joined Bernstein in 1991 as a research analyst covering global financial firms. Over the years, Masters has published numerous articles, including “Is There a Better Way to Rebalance?”; “After the Fall: The Case for Emerging Markets Revisited”; and “The Future of Defined Contribution Pension Plans.” Prior to Bernstein, he worked as a senior associate at Booz, Allen & Hamilton from 1986 to 1990 and taught economics in China from 1983 to 1985. Masters earned a BA from Princeton University and an MPhil in economics from Oxford University. Location: New York. "
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