Category
A category is a way to group investments based on similar risk, return, and behavior profiles.
1 to 25 of 186 Results
|
Name
|
Ticker
|
Morningstar Category
|
Morningstar Rating for Funds
Overall
|
Portfolio ESG Risk Rating
|
Total Return
YTD
|
Total Return Rank in Category (Day End)
YTD, Day End
|
Adjusted Expense Ratio
|
Fee Level
Distribution
|
Share Class Type
|
Minimum Initial Investment
|
|---|---|---|---|---|---|---|---|---|---|---|
| AB Tax-Aware Fixed Income Opportunities Portfolio Advisor Class | ATTYX | Muni National Interm | — | −3.04% | 60 | 0.500% | Average | No Load | $0 | |
| AB Municipal Income Fund II Massachusetts Portfolio Advisor Class | AMAYX | Muni Massachusetts | — | −2.72% | 15 | 0.520% | Average | No Load | — | |
| AB Select US Equity Portfolio Advisor Class | AUUYX | Large Blend | 11.22% | 58 | 1.240% | High | No Load | $0 | ||
| AB International Strategic Equities Portfolio Advisor Class | STEYX | Foreign Large Blend | 18.81% | 2 | 0.700% | Below Average | No Load | $10,000 | ||
| AB Municipal Income Fund California Portfolio Advisor Class | ALCVX | Muni California Intermediate | — | −2.98% | 57 | 0.500% | Average | No Load | — | |
| AB Municipal Income Fund New York Portfolio Advisor Class | ALNVX | Muni New York Intermediate | — | −2.34% | 24 | 0.500% | Average | No Load | — | |
| AB Select US Equity Portfolio Class I | AUUIX | Large Blend | 11.22% | 58 | 1.220% | High | Institutional | $2M | ||
| Bernstein International Strategic Equities Portfolio Class SCB | STESX | Foreign Large Blend | 18.77% | 2 | 0.930% | Average | No Load | $10,000 | ||
| AB International Strategic Equities Portfolio Class Z | STEZX | Foreign Large Blend | 18.84% | 2 | 0.710% | Below Average | Institutional | $0 | ||
| AB Municipal Income Fund II Virginia Portfolio Advisor Class | AVAYX | Muni Single State Interm | — | −3.36% | 33 | 0.550% | Average | No Load | — | |
| AB Select US Long/Short Portfolio Class A | ASLAX | Long-Short Equity | — | 5.71% | 59 | 1.860% | Above Average | Front Load | $2,500 | |
| AB International Small Cap Portfolio Advisor Class | IRCYX | Foreign Small/Mid Blend | 14.22% | 12 | 1.090% | Below Average | No Load | $5,000 | ||
| Bernstein International Small Cap Portfolio Class SCB | IRCSX | Foreign Small/Mid Blend | 14.16% | 16 | 1.330% | Above Average | No Load | $5,000 | ||
| AB Municipal Income Fund New York Portfolio Class A | ALNYX | Muni New York Intermediate | — | −2.42% | 33 | 0.740% | Average | Front Load | $2,500 | |
| AB Select US Equity Portfolio Class A | AUUAX | Large Blend | 11.01% | 60 | 1.490% | High | Front Load | $2,500 | ||
| AB Equity Income Fund Class C | AUICX | Large Value | 13.71% | 39 | 1.630% | Below Average | Level Load | $2,500 | ||
| AB Municipal Income Fund II Massachusetts Portfolio Class A | AMAAX | Muni Massachusetts | — | −2.91% | 18 | 0.770% | Below Average | Front Load | $2,500 | |
| AB Large Cap Value Fund Advisor Class | ABVYX | Large Value | 18.59% | 13 | 0.640% | Below Average | No Load | $0 | ||
| AB All China Equity Portfolio Advisor Class | ACEYX | Greater China Region | −3.84% | 48 | 1.250% | Above Average | No Load | $0 | ||
| AB Municipal Income Fund National Portfolio Advisor Class | ALTVX | Muni National Interm | — | −2.83% | 47 | 0.500% | Average | No Load | — | |
| AB Equity Income Fund Class Z | AUIZX | Large Value | 14.64% | 33 | 0.590% | Below Average | Institutional | $2M | ||
| AB Municipal Bond Inflation Strategy Class 2 | AUNTX | Muni National Short | — | −1.13% | 83 | 0.500% | High | Institutional | $5M | |
| AB Emerging Markets Multi-Asset Portfolio Class I | ABIEX | Diversified Emerging Mkts | 19.87% | 67 | 1.000% | Average | Institutional | $2M | ||
| AB Municipal Income Fund II Virginia Portfolio Class A | AVAAX | Muni Single State Interm | — | −3.44% | 39 | 0.800% | Above Average | Front Load | $2,500 | |
| AB International Small Cap Portfolio Class Z | IRCZX | Foreign Small/Mid Blend | 14.31% | 10 | 1.100% | Above Average | Institutional | $0 |
This list shows only funds that are open to new purchases or limited and does not include funds that are closed to new investments.