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Ab Flexfee™ High Yield Portfolio Class Z (HIYZX)

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Dados históricos de AB High Yield Portfolio Class Z, para cotação em tempo real realize outra pesquisa, por favor
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29/11 - Dados em Atraso. Moeda em USD
  • Classificação da Morningstar:
  • Total de ativos: 639,85K
Tipo:  Fundo
Mercado:  EUA
Classe de Ativo:  Título
AB High Yield Portfolio Class Z %

HIYZX - Visão Geral

 
Nesta página, você encontrará um perfil aprofundado de Ab Flexfee™ High Yield Portfolio Class Z. Saiba mais sobre informações de gestão, ativos totais, estratégia de investimento e dados de contato de HIYZX, entre outras informações.
Categoria

High Yield Bond

Total de ativos

639,85K

Despesas

0,73%

Data de início

20.05.2005

Informações de Contato

Endereço 11345 Avenue of the Americas
New York,NY 10105
United States
Telefone +1 212 9691000

Principais Executivos

Nome Título Desde Até
William Smith - 2018 Agora
Biografia Will Smith, CFA Portfolio Manager—High Yield Credit Will Smith is a member of the High Yield Credit portfolio-management team, focusing on US and global multi-sector portfolios. He is also a member of the High Income portfolio-management team. Smith joined AB in 2012 and spent 2014 in London as part of the European High Yield portfolio-management team. He started his career with UBS Investment Bank in 2009, working first as an analyst with the Credit Risk team and then later on the Fixed Income sales and trading desk. Smith holds a BA in economics from Boston College and is a CFA charterholder. Location: New York
Gershon M. Distenfeld Senior Vice President 2014 Agora
Biografia Gershon M. Distenfeld is a Senior Vice President and Director of Credit at AB, responsible for overseeing the investment strategy and management of all investment-grade and high-yield corporate bond portfolios and associated portfolio-management teams. Strategies under his purview span the credit and risk spectrum, from short-duration investment-grade corporate bond portfolios to regional and global high-yield portfolios, encompassing a range of investment approaches, objectives and alpha targets, from income-oriented buy-and-hold strategies to active multi-sector total return strategies, and including both publicly traded securities and private placements in developed and emerging markets. Distenfeld is also a Partner of the firm. He co-manages AB’s multiple-award-winning High Income Fund, named “Best Fund over 10 Years” by Lipper from 2012 to 2015, and the multiple-award-winning Global High Yield and American Income portfolios, flagship fixed-income funds on the firm’s Luxembourg-domiciled fund platform for non-US investors. Distenfeld also designed and is one of the lead portfolio managers for AB’s Multi-Sector Credit Strategy, which invests across investment-grade and high-yield credit sectors globally. He is the author of a number of published papers, including one on high-yield bonds being attractive substitutes for equities and another on the often-misunderstood differences between high-yield bonds and loans. His blog “High Yield Won’t Bubble Over” (January 2013) is one of AB’s all-time most-read blogs. Distenfeld joined AB in 1998 as a fixed-income business analyst, and served as a high-yield trader (1999–2002) and high-yield portfolio manager (2002–2006) before being named director of High Yield in 2006. He began his career as an operations analyst supporting Emerging Markets Debt at Lehman Brothers. Distenfeld holds a BS in finance from the Sy Syms School of Business at Yeshiva University, and is a CFA charterholder. Location: New York
Ivan Rudolph-Shabinsky Senior Vice President 2014 Agora
Biografia Ivan Rudolph-Shabinsky, CFA Portfolio Manager—Credit Ivan Rudolph-Shabinsky is a Senior Vice President and Credit Portfolio Manager, focusing primarily on the Low Volatility High Yield Strategy and the Short Duration High Yield Fund on the Luxembourg-domiciled fund platform, designed for non-US investors. He is a member of the Credit and High Yield fixed-income portfolio-management teams, and a member of the internal Credit Research Review Committee, the primary investment policy and decision-making committee for all AB’s credit-related portfolios. Rudolph-Shabinsky joined the firm in 1992 as a portfolio manager, and managed the Stable Value and Inflation-Linked Bond strategies. He has held other leadership posts at the firm, including head of Product Development and head of Product Management. Rudolph-Shabinsky has also authored or co-authored a number of papers, including “Beyond Interest Rate Anticipation: Strategies for Adding Value in Fixed Income” (2000) and “Assigning a Duration to Inflation-Protected Bonds” (1999), both published in the Financial Analysts Journal. He also co-wrote “Managed Synthetics,” published in The Handbook of Stable Value Investments (1998), and “LDI: Reducing Downside Risk with Global Bonds” (2012), published in The Journal of Investing. Rudolph-Shabinsky has written many blogs highlighting the risks in bank loans and in high-yield CCC-rated bonds. He holds a BA in economics and Soviet/East European studies from Cornell University and an MBA from Columbia University, and is a CFA charterholder. Location: New York
Ashish C. Shah Managing Director 2014 2018
Biografia Ashish Shah is Chief Investment Officer of Global Credit and Head of Fixed Income for AB. He is also a Partner of the firm. As CIO of Global Credit, Shah oversees all of AB’s credit-related strategies, including all global and regional investment-grade and high-yield strategies. In this capacity, he leads AB’s internal Credit Research Review Committee, the primary investment policy and decision-making committee for all credit-related portfolios managed by AB. As Head of Fixed Income, Shah is responsible for the management and strategic growth of the overall business. He is the author of several published papers and blogs, including those highlighting high-yield bonds as attractive substitutes for equities (June 2015), concerns around the bank loan market (November 2013) and the dangers in reaching for yield in the high-yield market (August 2013). Shah joined AB in 2010 as the firm’s head of Global Credit. Prior to that, he was a managing director and head of Global Credit Strategy at Barclays Capital (2008–2010), where he was responsible for the High Grade, High Yield, Structured Credit and Municipal Strategy groups and the Special Situations Research team. From 2003 to 2008, Shah was the head of Credit Strategy at Lehman Brothers, leading the Structured Credit/CDO and Credit Strategy groups and covering the cash bond, credit derivatives and CDO product areas for global credit investors. He holds a BS in economics from the Wharton School of the University of Pennsylvania. Location: New York
Sherif M. Hamid Senior Vice President 2014 2017
Biografia Sherif M. Hamid is a Senior Vice President and Credit Portfolio Manager at AB. He is a member of the Credit, US High Yield, European High Yield, Low Volatility High Yield and Multi-Sector Credit portfolio-management teams, as well as the internal Credit Research Review Committee, the primary investment policy and decision-making committee for all AB’s credit-related portfolios. Prior to joining AB in 2013 as a credit portfolio manager, Hamid was head of European Credit Strategy at Barclays Capital (2009–2013), covering European credit across the investment-grade, speculative-grade and structured credit markets, and his team was ranked #2 in Euromoney’s 2012 European fixed-income research rankings for credit strategies. Before that, he served as a US investment-grade credit strategist and a US high-yield research analyst at Lehman Brothers (2005–2008), where he was a member of the #1 ranked team on Institutional Investor’s 2008 All-America Fixed Income Research list for US Investment-Grade Credit Strategy and the #2 ranked team on Institutional Investor’s 2007 All-America Fixed-Income Research list for High Yield Broadcasting & Publishing. Hamid holds an AB in psychology from Harvard University and an MBA with a dual major in accounting and finance from the Wharton School at the University of Pennsylvania. Location: New York
Douglas J. Peebles Senior Vice President 2016 2017
Biografia Douglas J. Peebles is the Chief Investment Officer of AB Fixed Income and a Partner of the firm. As CIO, he is also Co-Chairman of the Interest Rates and Currencies Research Review team. Since joining AB in 1987, Peebles has held several leadership positions, including director of Global Fixed Income (1997–2004), co-head of AB Fixed Income (2004–2008) and Head of Fixed Income (2008–2016). He holds a BA from Muhlenberg College and an MBA from Rutgers University. Location: New York
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