The investment objective of the Portfolio is to maximize risk-adjusted return.
The fund is designed to capitalize on the current market environment to achieve the Portfolio’s investment objective. The Investment Manager believes that today’s environment presents a compelling investment opportunity in investment-grade corporate debt that can be enhanced through prudent security selection from the Investment Manager. The Investment Manager will implement the Global Credit Opportunities strategy by investing primarily in a diversified portfolio of debt securities of (i) global corporate issuers and (ii) government, government-sponsored/agency and supranational issuers. Each of these securities must possess an Investment Grade rating at time of purchase.
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=USD Corporate Bond
 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.
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