AB SICAV I Sust.US Them.Pf.A EUR H/  LU0520233601  /

Fonds
NAV2024-04-17 Chg.-0.2800 Type of yield Investment Focus Investment company
62.1600EUR -0.45% reinvestment Equity Mixed Sectors AllianceBernstein LU 
 

Monthly performance

  Jan Feb Mar Apr May Jun Jul Aug Sep Oct Nov Dec Total
2010 - - - - - - - -3.17 9.61 5.35 3.66 6.89 -
2011 3.14 3.82 -0.05 0.95 -1.68 -3.01 -3.31 -9.14 -13.95 10.60 -0.74 -2.49 -16.62%
2012 11.05 5.64 2.56 -2.50 -10.35 2.25 0.42 5.56 2.52 -2.08 1.62 2.42 +19.11%
2013 5.31 -1.12 1.91 0.25 4.34 -1.21 4.45 0.28 5.51 3.28 2.66 3.84 +33.42%
2014 -3.02 6.76 -2.17 -1.35 3.30 3.19 -4.00 4.21 -1.92 3.04 1.79 -0.66 +8.89%
2015 -1.51 7.80 -0.38 1.05 2.00 -0.88 2.12 -7.06 -3.17 5.69 2.64 -2.40 +5.13%
2016 -8.36 -1.19 7.29 -0.98 2.81 -2.38 4.80 0.76 0.41 -2.95 1.98 0.14 +1.48%
2017 4.50 2.95 1.74 1.55 5.89 0.15 2.64 -0.03 1.23 3.39 2.60 -0.13 +29.70%
2018 4.16 -3.46 -1.41 -0.19 2.97 -0.47 3.29 2.70 -0.52 -9.10 2.22 -8.86 -9.37%
2019 8.80 4.06 2.08 4.10 -5.92 7.10 1.55 -0.81 -0.46 0.41 4.03 1.90 +29.39%
2020 1.73 -6.62 -11.00 14.54 7.50 2.19 7.55 4.79 -1.50 0.06 9.09 4.31 +34.46%
2021 0.03 0.39 2.68 4.73 -0.94 3.48 3.18 3.70 -5.53 7.08 0.04 2.56 +22.94%
2022 -10.89 -0.77 -0.14 -10.18 0.26 -9.39 12.12 -6.03 -10.41 5.67 6.34 -4.04 -26.67%
2023 5.73 -2.66 2.06 -1.75 0.29 8.18 2.28 -1.51 -5.84 -4.40 8.67 5.55 +16.45%
2024 -0.02 5.18 1.32 -5.93 - - - - - - - - -

Calculated values

  YTD 6 Months 1 Year 3 Years 5 Years
Volatility 13.38% 13.49% 12.89% 18.90% 21.98%
Sharpe ratio -0.23 1.10 0.61 -0.25 0.24
Best month +5.55% +8.67% +8.67% +12.12% +14.54%
Worst month -5.93% -5.93% -5.93% -10.89% -11.00%
Maximum loss -6.64% -6.64% -13.05% -33.66% -33.66%
Outperformance -2.49% - +9.75% +35.67% +75.53%
 
All quotes in EUR

Tranches

Name   Type of yield Repurchase p. 1 Year 3 Years
AB SICAV I Sust.US Them.Pf.C EUR reinvestment 37.4100 +16.32% +16.51%
AB SICAV I Sust.US Them.Pf.C USD reinvestment 39.9200 +13.57% +3.31%
AB SICAV I Sust.US Them.Pf.C EUR... reinvestment 58.8900 +11.26% -3.79%
AB SICAV I Sust.US Them.Pf.IN US... reinvestment 91.6700 +15.00% +7.27%
AB SICAV I Sust.US Them.Pf.IN EU... reinvestment 85.9200 +17.83% +20.98%
AB SICAV I Sust.US Them.Pf.A CAD... reinvestment 66.5200 +13.21% +1.93%
AB SICAV I Sust.US Them.Pf.A AUD... reinvestment 69.7400 +12.10% -1.40%
AB SICAV I Sust.US Them.Pf.A SGD... reinvestment 53.3200 +12.06% +1.18%
AB SICAV I Sust.US Them.Pf.A GBP... reinvestment 53.7000 +13.17% +0.81%
AB SICAV I Sust.US Them.Pf.A HKD reinvestment 333.5600 +13.81% +5.61%
AB SICAV I Sust.US Them.Pf.C SGD reinvestment 54.4000 +15.87% +5.77%
AB SICAV I Sust.US Them.Pf.I GBP reinvestment 26.6200 +14.30% +20.45%
AB SICAV I Sust.US Them.Pf.I GBP... reinvestment 15.0500 +14.02% -
AB SICAV I Sust.US Them.Pf.INN E... paying dividend 16.3000 +17.77% -
AB SICAV I Sust.US Them.Pf.S1 US... reinvestment 54.4500 +16.50% +7.82%
AB SICAV I Sust.US Them.Pf.I USD reinvestment 51.3600 +15.00% +7.25%
AB SICAV I Sust.US Them.Pf.I EUR reinvestment 48.1300 +17.79% +20.93%
AB SICAV I Sust.US Them.Pf.I EUR... reinvestment 68.8900 +12.64% -0.16%
AB SICAV I Sust.US Them.Pf.S1 EU... reinvestment 51.0100 +17.97% +21.54%
AB SICAV I Sust.US Them.Pf.B USD reinvestment 33.9800 +12.97% +1.65%
AB SICAV I Sust.US Them.Pf.A EUR reinvestment 39.9100 +16.87% +18.08%
AB SICAV I Sust.US Them.Pf.A EUR... reinvestment 62.1600 +11.78% -2.48%
AB SICAV I Sust.US Them.Pf.A USD reinvestment 42.5900 +14.09% +4.72%

Performance

YTD  
+0.23%
6 Months  
+8.96%
1 Year  
+11.78%
3 Years
  -2.48%
5 Years  
+55.28%
Since start  
+314.40%
Year
2023  
+16.45%
2022
  -26.67%
2021  
+22.94%
2020  
+34.46%
2019  
+29.39%
2018
  -9.37%
2017  
+29.70%
2016  
+1.48%
2015  
+5.13%