The investment objective of the Portfolio is to maximize absolute return with low correlation to market returns.
The Portfolio will invest in debt securities (both Investment Grade and non-Investment Grade) of a wide range of issuers, including structured securities, and utilize financial derivative instruments to obtain effective exposure to various asset classes, sectors and securities, as well as markets, economies and currencies. The Portfolio may also invest in, or hedge with, equity, equity index and related derivatives. The Portfolio's asset allocation will vary and be determined based on the Investment Manager’s assessment of prevailing market conditions, and, consequently, the returns generated by the Portfolio will vary too.
Links:  http://www.globalfunddata.com/funds/new/performance/management?variant=AllianceBernstein (Luxembourg) S.à r.l.
 http://www.globalfunddata.com/funds/new/performance/fund_administrator?variant=State Street Bank Luxembourg S.A.
 http://www.globalfunddata.com/funds/new/performance/strategy?variant=Alt - Global Macro
 http://www.globalfunddata.com/funds/new/performance/city?variant=Hong Kong___Hong Kong
 http://www.globalfunddata.com/funds/new/performance/country?variant=Hong Kong
 http://www.globalfunddata.com/funds/new/performance/custodian?variant=State Street Bank Luxembourg S.A.
 mailto:email@example.com?subject=Mail from GFM Ltd