Fonds-Portfolio: AB Income Fund

Aktien- und Anleihebestände dieses Fonds/ETF der Gesellschaft AB BOND FUND, INC. zum gemeldeten Stichtag 2021-01-31 (SEC Form N-PORT). Erfasst sind Wertpapiere der Klassen Aktie und Anleihe — nicht Derivate, Repos oder Cash. Keine Anlageberatung.
Fonds-Verzeichnis
TitelTypCUSIP/ISINBestand ($)% NAVStück / Nennwert
50.889.158 $1,0747.841.000
Nordea Bank AbpDBT65559CAA99.961.769 $0,218.725.000
Banco Santander SADBT05971KAA74.660.720 $0,104.000.000
CONSOLIDATED COMMUNICATIDBT20903XAF03.941.861 $0,083.624.000
APX GROUP INCDBT00213MAV63.752.367 $0,083.506.000
SAUDI INTERNATIONAL BONDDBT80413TAS83.257.378 $0,073.031.000
WESTERN MIDSTREAM OPERATDBT958254AF13.200.625 $0,073.058.000
BROADCOM INCDBT11135FBD23.159.976 $0,072.656.000
CARS.COM INCDBT14575EAA32.578.081 $0,052.427.000
NFP CORPDBT65342RAC42.412.052 $0,052.239.000
HUARONG FINANCE IIDBTXS13179674922.327.959 $0,052.067.000
CITGO Petroleum CorpDBT17302XAJ51.572.569 $0,031.577.000
Altria Group IncDBT02209SBD41.357.604 $0,031.145.000
ALGECO GLOBAL FINANCEDBT01551UAC81.283.537 $0,031.258.000
CBB INTL SUKUK PRGM SPCDBT12482TAA61.139.312 $0,021.087.000
Intesa Sanpaolo SpADBT46115HAT41.087.451 $0,02999.000
NABORS INDUSTRIES LTDDBT629571AB61.070.805 $0,021.372.000
C&W Senior Financing DACDBT12674TAB2948.250 $0,02893.000
CITGO HOLDING INCDBT17302WAB4708.736 $0,01737.000
ING Groep NVDBTXS1497755360536.743 $0,01515.000
ANGI GROUP LLCDBT001846AA2456.997 $0,01458.000
CLARIOS GLOBAL LP/US FINDBTXS1964642471451.076 $0,01360.000
BNP PARIBASDBT05565ACA9436.572 $0,01418.000
EMPRESA DE TRANSPORTE MEDBT29246QAD7223.438 $0,00200.000
Barclays PLCDBTXS1481041587215.621 $0,00205.000
Lebanese RepublicDBTXS0707820659147.660 $0,001.284.000
50.889.158 $1,0747.841.000
Erweitert ×