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Ab Sicav I - Low Volatility Equity Portfolio A Hkd Acc (0P00013NAD)

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363.940 +1.440    +0.40%
20/12 - Delayed Data. Currency in HKD
  • Morningstar Rating:
  • Total Assets: 6.94B
Type:  Fund
Market:  Hong Kong
Issuer:  AllianceBernstein (Luxembourg) S.à r.l.
ISIN:  LU1037948541 
Asset Class:  Equity
AB SICAV I - Low Volatility Equity Portfolio A HKD 363.940 +1.440 +0.40%

0P00013NAD Overview

 
On this page you'll find an in-depth profile of Ab Sicav I - Low Volatility Equity Portfolio A Hkd Acc. Learn about the key management, total assets, investment strategy and contact information of 0P00013NAD among other information.
Category

Global Large-Cap Blend Equity

Total Assets

6.94B

Expenses

1.68%

Inception Date

Feb 26, 2014

Investment Strategy

The Portfolio seeks to increase the value of investment over time through capital growth. Under normal market conditions, the Portfolio typically invests in equity securities of companies that are organised, have substantial business activities in developed countries as well as Emerging Markets, that the Investment Manager believes have lower volatility. These companies may be of any market capitalisation and industry. The Portfolio’s investments may include convertible securities, depositary receipts and ETFs. The Portfolio may be exposed to any currency.

Contact Information

Address One International Finance Centre
Hong Kong, L-2453
Hong Kong
Phone +352 46 39 36 151

Top Executives

Name Title Since Until
Kent W. Hargis Portfolio Manager 2012 Now
Biography Kent Hargis was promoted to Co-Chief Investment Officer of Strategic Core Equities in 2018. He has been managing the Global, International and US portfolios since their inception in September 2011, and the Emerging Markets Strategic Core portfolio since January 2015. Hargis was named Head of Quantitative Research for Equities in 2009, with responsibility for overseeing the research and application of risk and return models across the firm’s equity portfolios. He joined the firm in October 2003 as a senior quantitative strategist.
Sammy Suzuki Portfolio Manager 2012 2023
Biography Sammy Suzuki was promoted to Co-Chief Investment Officer of Strategic Core Equities in 2018. He has been managing the Emerging Markets Strategic Core portfolio since its inception in July 2012 and the Global, International and US portfolios since 2015. Suzuki has managed portfolios for over 13 years and emerging-markets portfolios for a decade. From 2010 to 2012 he also held the role of director of Fundamental Value Research, where he managed 50 fundamental analysts globally. Prior to managing portfolios, Suzuki spent a decade as a research analyst.
Christopher W. Marx Senior Portfolio Manager 2012 2015
Biography Marx is a senior portfolio manager and member of the U.S. Value Equities Investment Policy Group. He joined the firm in 1997 as a research analyst. He covered a variety of industries both domestically and internationally, including chemicals, food, supermarkets, beverages and tobacco. Prior to that, he spent six years as a consultant for Deloitte & Touche and the Boston Consulting Group.
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