Overview
An actively managed investment grade corporate bond ETF that seeks to maximize total return through current income and long-term capital appreciation
About this Fund
- Implements a bottom-up security selection approach, facilitated by advanced quantitative processes and AB’s premier trading technology
- Identifies essential bond characteristics (predictive factors) that have demonstrable links to potential outperformance over full market cycles
- Relies on an investment philosophy that focuses on avoiding the wrong bonds as much as it does on owning the right bonds
Investment Approach
- Invests at least 80% of its net assets in investment grade fixed-income securities of corporate issuers
- Seeks to generate excess returns relative to its benchmark, while