- SEI UN CONSULENTE FINANZIARIO AUTONOMO?
- Scopri i vantaggi del nostro servizio
AB Event Driven I USD - LU2275027386
Obiettivo di investimento dichiarato
The Portfolio seeks to increase the value of your investment over time through capital growth, while seeking low correlation to traditional asset classes.
Anagrafica e indicatori
ISIN: LU2275027386 | Benchmark dichiarato: 100% SOFR + 4% |
Prezzo/Nav al 27/11/2024: 14,79 USD | Benchmark Morningstar: ND |
Investimento minimo: 1.000.000,00 USD | Società di Gestione: AllianceBernstein |
Categoria Morningstar: Alternativi - Event Driven | Valuta: USD |
Commissioni
Commissioni | Da prospetto |
---|---|
Commissione di ingresso massima | 1,50% |
Commissione di uscita massima | ND |
Commissione di gestione | 0,80% |
Commissione di performance | NO |
Rating e rischio
ESG
Il prodotto tiene conto dei fattori di sostenibilità? ND |
Rendimenti
Rendimenti | Fondo | Categoria |
---|---|---|
Rendimento YTD % | 5,28% | ND |
Rendimento 1 anno % | 5,27% | ND |
Rendimento 3 anni % | 1,97% | ND |
Rendimento 5 anni % | ND | ND |
Rendimento 10 anni % | ND | ND |
Visualizzazione documentazione offerta
Fondi acquistabili
Il fondo AB Event Driven I USD al momento non è acquistabile su FondiOnline.it. Puoi sottoscrivere in alternativa i seguenti fondi di AllianceBernstein.
- AB Low Vol Total Return Eq A EUR H - LU2056362424
- AB Low Vol Total Return Eq A USD - LU1934455194
- AB Asia Ex-Japan Eq A USD - LU0469268469
- AB Asia Ex-Japan Eq C EUR - LU0469270010
- AB Asia Ex-Japan Eq C USD - LU0469270366
- AB Global Core Eq A EUR H - LU1061040009
- AB Global Core Eq A USD - LU1061039258
- AB Global Equity Blend A EUR H - LU0997948285
- AB Global Equity Blend A USD - LU0175139822
- AB Global Equity Blend C USD - LU0203203202
- AB Low Volatility Eq A EUR - LU1998907197
- AB Low Volatility Eq A EUR H - LU0861579778
- AB Low Volatility Eq A USD - LU0861579265
- AB Concentrated Global Eq A EUR H - LU1011998272
- AB Concentrated Global Eq A USD - LU1011997381
- AB Concentrated Global Eq C USD - LU1278601650
- AB Global Growth Portfolio A EUR Acc - LU2760007562
- AB Global Growth Portfolio A USD Acc - LU2760009188
- AB Global Growth Portfolio ANN EUR Inc - LU2760007307
- AB Global Growth Portfolio C EUR Acc - LU2760007133
- AB Global Growth Portfolio C USD Acc - LU2760007216
- AB Sustainable Glb Thematic A EUR H - LU0511383332
- AB Sustainable Glb Thematic A USD - LU0069063385
- AB Sustainable Glb Thematic AX USD - LU0057025933
- AB Sustainable Glb Thematic C USD - LU0462790428
- AB Sust Climate Solutions A EUR - LU2399897565
- AB Sust Climate Solutions A USD - LU2399897136
- AB All China Eq A EUR - LU2611180840
- AB All China Eq A USD - LU1808992512
- AB All China Eq C EUR - LU2611184750
- AB All China Eq C USD - LU2611184677
- AB China Net Zero Solutions Ptf A EUR - LU2463027826
- AB China Net Zero Solutions Ptf A EUR H - LU2463028394
- AB India Growth A USD - LU0430678424
- AB India Growth C USD - LU0430679075
- AB Select Absolute Alpha A EUR - LU0787776219
- AB Select Absolute Alpha A EUR H - LU0736559278
- AB Select Absolute Alpha A USD - LU0736558973
- AB Global Real Estate A USD - LU0074935502
- AB Global Real Estate C EUR - LU0497119304
- AB Global Real Estate C USD - LU0497119726
- AB Intl Health Care A USD - LU0058720904
- AB Intl Health Care C USD - LU0100122521
- AB Intl Technology A USD - LU0060230025
- AB Intl Technology C USD - LU0107368549
- AB Select US Equity A EUR - LU0787776565
- AB Select US Equity A EUR H - LU0683600646
- AB Select US Equity A USD - LU0683600562
- AB Select US Equity C USD - LU0772116835
- AB US Low Volatility Eq A EUR - LU2701244613
- AB US Low Volatility Eq A USD - LU2339504321
- AB American Growth A EUR H - LU0511403387
- AB American Growth A USD - LU0079474960
- AB American Growth C EUR H - LU0511403544
- AB American Growth C USD - LU0054403190
- AB Concentrated US Eq A EUR H - LU1011999080
- AB Concentrated US Eq A USD - LU1011998942
- AB Concentrated US Eq C USD - LU1011999320
- AB Sustainable US Thematic A EUR H - LU0520233601
- AB Sustainable US Thematic A USD - LU0124676726
- AB Sustainable US Thematic C USD - LU0129372610
- AB US Value A EUR - LU2801275749
- AB US Value A USD - LU2801275665
- AB US Small and Mid-Cap Eq A EUR H - LU0511384579
- AB US Small and Mid-Cap Eq A USD - LU0493246853
- AB US Small and Mid-Cap Eq C USD - LU0493247588
- AB Eurozone Eq A EUR - LU0528102642
- AB Eurozone Eq A USD - LU0528102998
- AB Eurozone Eq C EUR - LU0528103459
- AB European Eq A EUR - LU0124675678
- AB European Eq A USD - LU0232465038
- AB European Eq C EUR - LU0129373261
- AB European Growth Port A EUR Acc - LU2760005947
- AB European Growth Port ANN EUR Inc - LU2760009006
- AB European Growth Port ANN GBP Inc - LU2760008966
- AB European Growth Port C EUR Acc - LU2760008883
- AB Emerging Market Low Vol Eq A EUR - LU2820344922
- AB Emerging Market Low Vol Eq A USD - LU1005412207
- AB Emerging Market Low Vol Eq AD USD - LU1675838814
- AB Emerging Markets Growth A USD - LU0040709171
- AB Emerging Markets Growth C USD - LU0054846695
- AB EM Multi-Asset A EUR H - LU0633142186
- AB EM Multi-Asset A USD - LU0633140560
- AB EM Multi-Asset C USD - LU0633141295
- AB Sustainable All Market A EUR - LU2211954693
- AB All Market Income A EUR H - LU1127386651
- AB All Market Income A USD - LU1127386735
- AB All Market Income AMG EUR H - LU1877325818
- AB All Market Income ANN EUR H - LU1877326386
- AB All Market Income ANN USD - LU1877325222
- AB All Market Income C USD - LU1127390927
- AB American Multi-Asset Ptf A EUR - LU2463030960
- AB American Multi-Asset Ptf A EUR H - LU2471912910
- AB American Multi-Asset Ptf A USD - LU2463028550
- AB American Multi-Asset Ptf AD EUR - LU2463030887
- AB American Multi-Asset Ptf AD EUR H - LU2471913058
- AB Fxd Mat Bd 2026 Pt C2 - LU2575945139
- AB Fxd Mat Bd 2026 Pt CNN - LU2575945212
- AB RMB Income Plus A2 CNH - LU0633139042
- AB RMB Income Plus C2 CNH - LU0654558385
- AB European Income A2 EUR - LU0095024591
- AB European Income A2 USD - LU0232529965
- AB European Income AK EUR - LU0871809728
- AB European Income AT EUR - LU0173638916
- AB European Income C EUR - LU0095026026
- AB European Income C2 EUR - LU0102827648
- AB European Income CK EUR - LU0871809991
- AB SICAV I Sust Euro Hi Yld A2 EUR - LU0496384180
- AB SICAV I Sust Euro Hi Yld A2 USD - LU0496384693
- AB SICAV I Sust Euro Hi Yld AT EUR - LU0496384859
- AB SICAV I Sust Euro Hi Yld C2 EUR - LU0496388256
- AB Sust Glb Thematic Credit A2 EUR - LU2056363588
- AB Global Dynamic Bond A2 EUR H - LU1005411738
- AB Global Income A2 EUR H - LU1585237875
- AB Global Income A2 USD - LU1585236802
- AB Sustainable Income A2 USD - LU2339503604
- AB Sustainable Income AT EUR H - LU2339505484
- AB Sustainable Income AT USD - LU2339506029
- AB Global High Yield A2 EUR H - LU0448068782
- AB Global High Yield A2 USD - LU0102830865
- AB Global High Yield AK EUR - LU0871810148
- AB Global High Yield AK EUR H - LU0871810650
- AB Global High Yield AK USD - LU0871810064
- AB Global High Yield AT EUR H - LU0448041581
- AB Global High Yield AT USD - LU0156897901
- AB Global High Yield C USD - LU0081337197
- AB Global High Yield C2 EUR H - LU0448042399
- AB Global High Yield C2 USD - LU0128661278
- AB Global High Yield CT USD - LU0447424465
- AB Short Duration High Yield A2 EUR H - LU0654560878
- AB Short Duration High Yield A2 USD - LU0654559516
- AB Short Duration High Yield AT EUR H - LU0654560951
- AB Short Duration High Yield AT USD - LU0654559607
- AB Short Duration High Yield C2 USD - LU0654560019
- AB Short Duration High Yield CT USD - LU0800111998
- AB Global Plus Fixed Income A2 EUR H - LU0683598303
- AB Global Plus Fixed Income A2 USD - LU0683598212
- AB Global Plus Fixed Income AT EUR H - LU0683598642
- AB Global Plus Fixed Income AT USD - LU0683598568
- AB Short Duration Bond A2 EUR H - LU0511405085
- AB Short Duration Bond A2 USD - LU0102828612
- AB Short Duration Bond AT EUR - LU0328307573
- AB Short Duration Bond AT EUR H - LU0511405168
- AB Short Duration Bond AT USD - LU0156897653
- AB Short Duration Bond C2 USD - LU0100120822
- AB American Income A2 EUR H - LU0592505589
- AB American Income A2 USD - LU0095030564
- AB American Income AK EUR H - LU0871809488
- AB American Income AK USD - LU0871808910
- AB American Income AT EUR H - LU0539799634
- AB American Income AT USD - LU0157308031
- AB American Income C USD - LU0044958022
- AB American Income C2 EUR H - LU0592505662
- AB American Income C2 USD - LU0054548911
- AB American Income CT USD - LU0447424622
- AB Mortgage Income A2 Acc - LU1021288185
- AB Mortgage Income A2 EUR H - LU1732775710
- AB US High Yield A2 USD - LU0759706095
- AB Emerging Market Corp Debt A2 EUR H - LU0736563114
- AB Emerging Market Corp Debt A2 USD - LU0736563031
- AB EM Local Cur Debt A2 EUR H - LU0736561928
- AB EM Local Cur Debt A2 USD - LU0736561761
- AB Emerging Markets Debt A2 EUR H - LU0511406562
- AB Emerging Markets Debt A2 USD - LU0246601768
- AB Emerging Markets Debt AT EUR H - LU0511406646
- AB Emerging Markets Debt AT USD - LU0246605835
- AB Emerging Markets Debt C2 EUR H - LU0511407024
- AB Emerging Markets Debt C2 USD - LU0246601925
Le informazioni su Fondi Comuni di Investimento, Sicav e Fondi Pensione Aperti messe a disposizione sul Sito sono di esclusiva proprietà di Morningstar Italy S.r.l. (http://www.morningstar.it/it/). Innofin non è pertanto in alcun modo responsabile della veridicità, completezza e aggiornamento delle Informazioni.