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Ab - Emerging Markets Multi-asset Portfolio Ad Usd Inc (0P0000YJEB)

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84.980 -1.080    -1.25%
31/10 - Closed. Currency in HKD
Type:  Fund
Market:  Hong Kong
ISIN:  LU0683595622 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 630.7M
AB SICAV I - Emerging Markets Multi-Asset Portfoli 84.980 -1.080 -1.25%

Ab - Emerging Markets Multi-asset Portfolio Ad Usd Inc Overview

 
On this page you'll find an in-depth profile of Ab - Emerging Markets Multi-asset Portfolio Ad Usd Inc. Learn about the key management, total assets, investment strategy and contact information of 0P0000YJEB among other information.
Category

Global Emerging Markets Allocation

Total Assets

630.7M

Expenses

1.90%

Inception Date

Mar 21, 2013

Investment Strategy

The Portfolio seeks to increase the value of your investment over time through a combination of income and capital growth (total return) while seeking to moderate volatility. Under normal market conditions, the Portfolio typically invests in equity securities and debt securities of any credit quality from Emerging Market issuers. The Portfolio may also seek exposure to other asset classes such as commodities, real estate, currencies and interest rates, as well as to eligible indices. The Portfolio is not limited in its exposure to equities, debt securities or currencies. The Portfolio’s equity investments may include convertible securities, depositary receipts, REITs and ETFs.

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
Morgan C Harting Vice President 2011 Now
Biography Morgan C. Harting is the lead Portfolio Manager for all Multi-Asset Income strategies and for the Emerging Markets Multi-Asset Portfolio. He joined AB in 2007 as part of the global and emerging-market equities portfolio-management team. Prior to that, Harting was a sovereign-debt analyst, first at Standard & Poor’s and then at Fitch Ratings, where he was a senior director. He holds a BA from Wesleyan University, and both an MA in international relations and an MBA from Yale University, where he was a graduate teaching fellow in international economics. Harting is a CFA charterholder, a certified Financial Risk Manager (FRM) and a Chartered Alternative Investment Analyst (CAIA).
Marco G. Santamaria Portfolio Manager 2011 2017
Biography Marco Santamaria is a Senior Vice President and Portfolio Manager, focusing on hard-currency emerging-market debt at AB. He is a member of the Emerging Market Debt and Global High Income portfolio-management teams, and a member of the Emerging Market Debt Research Review team. Santamaria plays an integral role in the Hard Currency Emerging Market Debt, core Emerging Market Debt and Investment Grade Emerging Market Debt strategies, as well as the hard-currency emerging-market debt component of the Global High Income portfolios. He originally worked at AB from 1992 to 1994, and then rejoined the firm in 2010. Prior to that, Santamaria was a founding partner at Global Securities Advisors, a fixed-income hedge fund focused on emerging markets. Earlier in his career, he managed the Emerging Markets Sovereign Strategy Research team at Lehman Brothers. Santamaria holds an AB in economics and English from Amherst College and an MA in international economics from Johns Hopkins University School of Advanced International Studies. He is a CFA charterholder. Location: New York
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