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ANAYX

AB Global Bond-Adv

$6.84 -0.01 (-0.15%)
Currency in USD / Last Updated: 7/9/2024
Category World Bond-Hedged
Market Cap 5653.965M
52 Week High 6.85
52 Week Low 6.277
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Key Data
Symbol ANAYX
Type Mutual Fund
Category World Bond-Hedged
Price 6.84
Price Yesterday 6.85
Market Cap 5,653.97
YTD Return 0.37%
Expense Details
Deferred 0
12b-1 0
Front Load 0
Initial Purchase Amount 0
Redeption Fee 0
Prospectus 0.0055
Overview
52 Week High 6.85
52 Week Low 6.28
Market Cap 5,653.97M
Shares Outstanding 826.60M
Income Dividend Yield 3.58%
Long Term Dividend Yield 0.00%
Short Term Dividend Yield 0.00%
52 Week Yield (All) 3.58%
Returns Annualized
One Day -30.82%
Five Days 34.43%
One Months 9.90%
Three Months 3.40%
Six Months 2.55%
Nine Months 10.64%
One Year 6.65%
Three Years -1.95%
Five Years 0.03%
Ten Years 1.84%
YTD 0.71%
Since Inception 3.27%
Returns Total
One Day -0.15%
Five Days 0.59%
One Month 0.75%
Three Months 0.83%
Six Months 1.24%
Nine Months 7.78%
One Year 6.64%
Three Years -5.72%
Five Years 0.13%
Ten Years 19.94%
YTD 0.37%
Since Inception 70.57%
Yearly Returns
2024 0.37%
2023 6.95%
2022 -11.93%
2021 -0.78%
2020 5.10%
2019 7.58%
2018 0.30%
2017 3.11%
2016 5.77%
2015 0.67%
Risk against SP-DA
Alpha -6.56%
Beta 0.34
Correlation 74.63%
Downside Deviation 1.13%
Coefficient of determination 55.70%
Standard Deviation 1.45%
Sharpe Ratio -4.4
Sortino -19.58
Treynor 3.78
Ulcer Index 1.47
Ulcer Performance Index -15.02

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