The investment seeks to achieve a high total return without, in the opinion of the Adviser, undue risk to principal. The fund normally invests in a combination of Underlying Portfolios representing a variety of asset classes and investment styles that are also managed by the Adviser. It targets a weighting of approximately 35% in Underlying Portfolios that invest primarily in equity securities and approximately 65% in Underlying Portfolios that invest primarily in debt securities with a goal of providing reduced volatility and modest upside potential.
Fund filings (PDF) »
Asset managers:
Christopher Nikolich (Started: Sep 2, 2003)
Patrick Rudden (Started: Feb 1, 2009)
Dokyoung Lee (Started: Jul 15, 2008)
Seth Masters (Started: Sep 2, 2003)
# Contact ?>
AllianceBernstein, 11345 Avenue of the Americas