AB Global Bond Fund Class Z is an open-end mutual fund focused on global fixed income. Its primary objective is to deliver current income and preserve capital through a diversified, multi-sector bond portfolio managed on a currency-hedged basis. The strategy invests broadly across government, investment-grade corporate, securitized, and select emerging-markets debt, using both U.S. dollar and local-currency issuance while systematically hedging foreign exchange exposure to moderate volatility. The fund is benchmarked to the Bloomberg Global Aggregate Bond Index (USD hedged) and employs tactical allocation across countries, sectors, and yield curves to balance interest-rate and credit risks. Portfolio characteristics center on intermediate interest-rate sensitivity and wide issuer dispersion, reflecting its role as a core global bond holding. Managed by an experienced fixed-income team using quantitative and fundamental research, the fund distributes income monthly and targets competitive risk-adjusted returns with lower volatility than unhedged global bond approaches. Its design makes it a diversified anchor within fixed-income allocations, complementing domestic core bonds by expanding exposure to international rates and credit markets while maintaining disciplined currency management.
See your Portfolio Score and get data driven insights in ~60 seconds.
Opens in PortfolioPilot
Based on technical indicators and chart patterns, ANAZX shows...
Market sentiment analysis indicates...