AB Muni Income Arizona |
0.0
|
0.0
| |
AB Muni Income California |
0.0
|
0.0
| |
AB Muni Income Massachusetts |
0.0
|
0.0
| |
AB Muni Income Minnesota |
0.0
|
0.0
| |
AB Muni Income National |
0.0
|
0.0
| |
AB Muni Income New Jersey |
0.0
|
0.0
| |
AB Muni Income New York |
0.0
|
0.0
| |
AB Muni Income Ohio |
0.0
|
0.0
| |
AB Muni Income Pennsylvania |
0.0
|
0.0
| |
AB Muni Income Virginia |
0.0
|
0.0
| |
AB Municipal Bond Inflation |
0.0
|
0.0
| |
AB Municipal Income Shares |
0.0
|
0.0
| |
AB National Portfolio |
0.0
|
0.0
| |
AB New Jersey Portfolio |
0.0
|
0.0
| |
AB New York Portfolio |
0.0
|
0.0
| |
AB Next 50 Emerging Markets (Luxembourg) Fund, SICAV-SIF S.C.Sp. |
0.0
|
0.0
| |
AB Ohio Portfolio |
0.0
|
0.0
| |
AB Pennsylvania Portfolio |
0.0
|
0.0
| |
AB Prt Crdt Invs Middle Market Direct Lending SICAV-SIF S.C.Sp. 1st Compartment |
0.0
|
0.0
| |
AB Prt Crdt Invs Middle Market DL Fd SICAV-SIF S.C.Sp. 2nd Compartment |
0.0
|
0.0
| |
AB Prt Crdt Invs Middle Market DL Fd SICAV-SIF S.C.Sp. 1st Compartment |
0.0
|
0.0
| |
AB Prt Crdt Invs Middle Market Direct Lending SICAV-SIF S.C.Sp. 2nd Compartment |
0.0
|
0.0
| |
AB Real Asset Strategy |
0.0
|
0.0
| |
AB Relative Value |
0.0
|
0.0
| |
AB Relative Value Fund |
74.4
|
8.7
|
AAA
|
AB SCBF II-Intermediate Duration Institutional Portfolio |
0.0
|
0.0
| |
AB SCBF-California Municipal Portfolio |
0.0
|
0.0
| |
AB SCBF-Diversified Municipal Portfolio |
0.0
|
0.0
| |
AB SCBF-Emerging Markets Portfolio |
0.0
|
0.0
| |
AB SCBF-Intermediate Duration Portfolio |
0.0
|
0.0
| |
AB SCBF-New York Municipal Portfolio |
0.0
|
0.0
| |
AB SCBF-Short Duration Diversified Muni Portfolio |
0.0
|
0.0
| |
AB SCBF-Short Duration Plus Portfolio |
0.0
|
0.0
| |
AB Select US Equity |
150.9
|
7.4
|
AA
|
AB Select US Long/Short |
150.3
|
7.1
|
AA
|
AB Short Duration |
15.8
|
5.9
|
A
|
AB Short Duration High Yield |
247.1
|
5.6
|
BBB
|
AB Short Duration Income |
0.0
|
0.0
| |
AB SICAV I - All China Equity Portfolio |
167.6
|
4.0
|
BB
|
AB SICAV I - All Market Income Portfolio |
140.1
|
6.9
|
A
|
AB SICAV I - American Growth Portfolio |
13.9
|
9.1
|
AAA
|
AB SICAV I - American Multi-Asset Portfolio |
120.4
|
7.4
|
AA
|
AB SICAV I - Asia High Yield Portfolio |
624.8
|
3.5
|
BB
|
AB SICAV I - Asia Income Opportunities Portfolio |
527.6
|
4.5
|
BBB
|
AB SICAV I - Asia Pacific Local Currency Debt Portfolio |
6.0
|
5.0
|
BBB
|
AB SICAV I - China A Shares Equity Portfolio |
287.5
|
2.2
|
B
|
AB SICAV I - China Bond Portfolio |
0.0
|
0.0
| |
AB SICAV I - China Net Zero Solutions Portfolio |
263.7
|
4.0
|
BB
|
AB SICAV I - Climate High Income Portfolio |
114.4
|
6.6
|
A
|
AB SICAV I - Concentrated Asia Equity Portfolio |
0.0
|
0.0
| |
AB SICAV I - Concentrated Global Equity Portfolio |
25.1
|
8.9
|
AAA
|
AB SICAV I - Concentrated US Equity Portfolio |
29.6
|
10.0
|
AAA
|
AB SICAV I - Diversity Champions Equity Portfolio |
31.8
|
9.0
|
AAA
|
AB SICAV I - Emerging Market Local Currency Debt Portfolio |
0.1
|
0.0
| |
AB SICAV I - Emerging Markets Multi-Asset Portfolio |
201.8
|
4.0
|
BB
|
AB SICAV I - Emerging Markets Low Volatility Equ. Portfolio |
99.6
|
5.1
|
BBB
|
AB SICAV I - Emerging Market Corporate Debt Portfolio |
522.9
|
5.5
|
BBB
|
AB SICAV I - Europe (Ex UK) Equity Portfolio |
0.0
|
0.0
| |
AB SICAV I - European Equity Portfolio |
142.0
|
9.2
|
AAA
|
AB SICAV I - European Growth Portfolio |
0.0
|
0.0
| |
AB SICAV I - Eurozone Equity Portfolio |
147.4
|
8.7
|
AAA
|
AB SICAV I - Event Driven Portfolio |
0.0
|
7.6
|
AA
|
AB SICAV I - Financial Credit Portfolio |
3.1
|
8.5
|
AA
|
AB SICAV I - Global Core Equity Portfolio |
70.9
|
9.0
|
AAA
|
AB SICAV I - Global Dynamic Bond Portfolio |
0.0
|
7.8
|
AA
|
AB SICAV I - Global ESG Improvers Portfolio |
125.2
|
8.6
|
AA
|
AB SICAV I - Global Growth Portfolio |
0.0
|
0.0
| |
AB SICAV I - Global Income Portfolio |
122.6
|
6.0
|
A
|
AB SICAV I - Global Low Carbon Equity Portfolio |
26.6
|
9.0
|
AAA
|
AB SICAV I - Global Plus Fixed Income Portfolio |
23.7
|
6.7
|
A
|
AB SICAV I - Global Real Estate Securities Portfolio |
94.0
|
7.8
|
AA
|
AB SICAV I - Global Value Portfolio |
0.0
|
0.0
| |
AB SICAV I - India Growth Portfolio |
223.8
|
5.3
|
BBB
|
AB SICAV I - International Health Care Portfolio |
13.1
|
9.8
|
AAA
|
AB SICAV I - International Technology Portfolio |
23.7
|
7.3
|
AA
|
AB SICAV I - Low Volatility Equity Portfolio |
71.3
|
9.0
|
AAA
|
AB SICAV I - Low Volatility Total Return Equity Portfolio |
70.3
|
9.0
|
AAA
|
AB SICAV I - Multi-Strategy Alternative Portfolio |
0.0
|
7.3
|
AA
|
AB SICAV I - RMB Income Plus Portfolio |
163.5
|
3.6
|
BB
|
AB SICAV I - Security of the Future Portfolio |
0.0
|
0.0
| |
AB SICAV I - Select Absolute Alpha Portfolio |
167.6
|
7.3
|
AA
|
AB SICAV I - Select US Equity Portfolio |
168.0
|
7.8
|
AA
|
AB SICAV I - Short Duration High Yield Portfolio |
231.9
|
5.5
|
BBB
|
AB SICAV I - Short Duration Income Portfolio |
54.1
|
5.6
|
BBB
|
AB SICAV I - Sustainable All Market Portfolio |
80.1
|
8.7
|
AAA
|
AB SICAV I - Sustainable Climate Solutions Portfolio |
172.6
|
8.2
|
AA
|
AB SICAV I - Sustainable Emerging Market Debt Portfolio |
86.2
|
5.1
|
BBB
|
AB SICAV I - Sustainable Euro High Yield Portfolio |
0.0
|
0.0
| |
AB SICAV I - Sustainable Global Thematic Credit Portfolio |
79.5
|
9.3
|
AAA
|
AB SICAV I - Sustainable Global Thematic Portfolio |
69.9
|
8.4
|
AA
|
AB SICAV I - Sustainable Income Portfolio |
42.8
|
6.9
|
A
|
AB SICAV I - Sustainable US Thematic Portfolio |
72.3
|
9.2
|
AAA
|
AB SICAV I - US High Yield Portfolio |
187.5
|
5.8
|
A
|
AB SICAV I - US Low Volatility Equity Portfolio |
97.4
|
9.0
|
AAA
|
AB SICAV I - US Small and Mid-Cap Portfolio |
141.9
|
8.2
|
AA
|
AB SICAV I - US Value Portfolio |
0.0
|
0.0
| |
AB SICAV III - AB Multi-Asset 2022-I Portfolio |
0.0
|
0.0
| |
AB SICAV III - Dynamic All Market Portfolio |
84.5
|
7.2
|
AA
|
AB SICAV III - Fixed Maturity Bond 2026 Portfolio |
141.8
|
8.3
|
AA
|
AB Small Cap Core Portfolio |
0.0
|
0.0
| |