24.08.2020 22:06:00
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AB Global High Income Fund Releases Monthly Portfolio Update
NEW YORK, Aug. 24, 2020 /PRNewswire/ -- AB Global High Income Fund, Inc.[NYSE: AWF] (the "Fund") today released its monthly portfolio update as of July 31,2020.
AB Global High Income Fund, Inc.
Top 10 Fixed-Income Holdings | Portfolio % |
1) U.S. Treasury Notes 2.25%, 2/15/27 | 2.50% |
2) Brazil Notas do Tesouro Nacional Series F 10.00%, 1/01/21 | 1.90% |
3) U.S. Treasury Notes 2.875%, 8/15/28 | 1.59% |
4) Indonesia Treasury Bond Series FR78 8.25%, 5/15/29 | 0.71% |
5) Argentine Republic Government International Bond 6.875%, 1/26/27 - 1/11/48 | 0.71% |
6) Dominican Republic International Bond 8.625%, 4/20/27 | 0.64% |
7) Colombian TES Series B 10.00%, 7/24/24 | 0.58% |
8) Ukraine Government International Bond 7.75%, 9/01/22 - 9/01/24 | 0.50% |
9) U.S. Treasury Bonds 5.25%, 2/15/29 | 0.45% |
10) Wachovia Mortgage Loan Trust Series 2006-ALT1, Class A2 0.351%, 1/25/37 | 0.41% |
Investment Type | Portfolio % |
Corporates - Non-Investment Grade | |
Credit Default Swaps | 29.29% |
SUBTOTAL | 29.29% |
Industrial | |
Communications - Media | 3.45% |
Energy | 3.27% |
Consumer Non-Cyclical | 3.20% |
Basic | 2.93% |
Consumer Cyclical - Other | 2.77% |
Capital Goods | 2.43% |
Consumer Cyclical - Automotive | 2.12% |
Communications - Telecommunications | 2.07% |
Services | 1.77% |
Consumer Cyclical - Retailers | 1.27% |
Technology | 1.00% |
Consumer Cyclical - Entertainment | 0.69% |
Transportation - Services | 0.55% |
Consumer Cyclical - Restaurants | 0.30% |
Other Industrial | 0.30% |
SUBTOTAL | 28.12% |
Financial Institutions | |
Banking | 2.35% |
Finance | 0.91% |
Insurance | 0.85% |
REITS | 0.78% |
Brokerage | 0.61% |
Other Finance | 0.48% |
SUBTOTAL | 5.98% |
Utility | |
Electric | 0.60% |
SUBTOTAL | 0.60% |
SUBTOTAL | 63.99% |
Corporates - Investment Grade | |
Industrial | |
Energy | 1.65% |
Basic | 1.04% |
Consumer Cyclical - Other | 0.98% |
Consumer Cyclical - Entertainment | 0.86% |
Technology | 0.74% |
Consumer Cyclical - Automotive | 0.63% |
Communications - Media | 0.48% |
Consumer Non-Cyclical | 0.44% |
Transportation - Services | 0.38% |
Transportation - Airlines | 0.36% |
Communications - Telecommunications | 0.29% |
Services | 0.27% |
Other Industrial | 0.19% |
Capital Goods | 0.18% |
Consumer Cyclical - Retailers | 0.06% |
SUBTOTAL | 8.55% |
Financial Institutions | |
Banking | 5.35% |
Insurance | 1.98% |
REITS | 0.44% |
Finance | 0.37% |
Brokerage | 0.14% |
Other Finance | 0.02% |
SUBTOTAL | 8.30% |
Credit Default Swaps | 0.14% |
SUBTOTAL | 0.14% |
Utility | |
Electric | 0.06% |
SUBTOTAL | 0.06% |
SUBTOTAL | 17.05% |
Emerging Markets - Sovereigns | |
Emerging Markets - Sovereigns | 10.21% |
Credit Default Swaps | 0.47% |
SUBTOTAL | 10.68% |
Collateralized Mortgage Obligations | |
Risk Share Floating Rate | 8.54% |
Non-Agency Fixed Rate | 0.69% |
Non-Agency Floating Rate | 0.58% |
Agency Fixed Rate | 0.55% |
SUBTOTAL | 10.36% |
Global Governments | 8.05% |
Interest Rate Futures | 7.56% |
Commercial Mortgage-Backed Securities | |
Credit Default Swaps | 4.64% |
Non-Agency Fixed Rate CMBS | 1.48% |
Non-Agency Floating Rate CMBS | 0.09% |
SUBTOTAL | 6.21% |
Bank Loans | |
Industrial | |
Consumer Non-Cyclical | 1.02% |
Technology | 0.84% |
Capital Goods | 0.54% |
Consumer Cyclical - Other | 0.53% |
Services | 0.51% |
Consumer Cyclical - Retailers | 0.25% |
Energy | 0.20% |
Communications - Media | 0.16% |
Other Industrial | 0.13% |
Consumer Cyclical - Restaurants | 0.11% |
Communications - Telecommunications | 0.09% |
Consumer Cyclical - Entertainment | 0.08% |
Consumer Cyclical - Automotive | 0.08% |
Basic | 0.05% |
Transportation - Airlines | 0.02% |
SUBTOTAL | 4.61% |
Financial Institutions | |
Insurance | 0.13% |
Finance | 0.12% |
SUBTOTAL | 0.25% |
Utility | |
Electric | 0.19% |
SUBTOTAL | 0.19% |
SUBTOTAL | 5.05% |
Emerging Markets - Corporate Bonds | |
Industrial | |
Basic | 1.18% |
Energy | 0.58% |
Consumer Cyclical - Other | 0.43% |
Consumer Non-Cyclical | 0.41% |
Communications - Telecommunications | 0.28% |
Capital Goods | 0.14% |
Communications - Media | 0.08% |
Transportation - Services | 0.05% |
SUBTOTAL | 3.15% |
Utility | |
Electric | 0.40% |
SUBTOTAL | 0.40% |
Financial Institutions | |
Banking | 0.05% |
Insurance | 0.01% |
SUBTOTAL | 0.06% |
SUBTOTAL | 3.61% |
Emerging Markets - Treasuries | 1.92% |
Total Return Swaps | 1.33% |
Collateralized Loan Obligations | |
CLO - Floating Rate | 1.29% |
SUBTOTAL | 1.29% |
Quasi-Sovereigns | |
Quasi-Sovereign Bonds | 1.12% |
SUBTOTAL | 1.12% |
Asset-Backed Securities | |
Other ABS - Fixed Rate | 0.52% |
Home Equity Loans - Fixed Rate | 0.29% |
Autos - Fixed Rate | 0.28% |
SUBTOTAL | 1.09% |
Common Stocks | |
0.64% | |
Common Stocks | 0.28% |
SUBTOTAL | 0.92% |
Energy | |
Oil Gas & Consumable Fuels | 0.01% |
SUBTOTAL | 0.01% |
Investment Companies | |
Funds and Investment Trusts | 0.53% |
SUBTOTAL | 0.53% |
Local Governments - US Municipal Bonds | 0.38% |
Inflation-Linked Securities | 0.25% |
Preferred Stocks | |
Financial Institutions | 0.14% |
Industrial | 0.09% |
Utility | 0.02% |
SUBTOTAL | 0.25% |
Warrants | 0.02% |
Local Governments - Regional Bonds | 0.01% |
Whole Loan Trusts | |
Performing Asset | 0.01% |
SUBTOTAL | 0.01% |
Reverse Repurchase Agreements | -0.12% |
Currency Instruments | |
Forward Currency Exchange Contracts | -0.18% |
SUBTOTAL | -0.18% |
Net Cash Equivalents | |
Cash | 1.82% |
Investment Companies | 1.38% |
Foreign Currency | -0.02% |
SUBTOTAL | 3.18% |
Derivative Offsets | |
Futures Offsets | -7.26% |
Swaps Offsets | -37.31% |
SUBTOTAL | -44.57% |
Total | 100.00% |
Country Breakdown | Portfolio % |
United States | 65.42% |
Brazil | 4.72% |
United Kingdom | 2.51% |
Mexico | 1.61% |
Canada | 1.59% |
Colombia | 1.26% |
France | 1.23% |
Netherlands | 1.20% |
Argentina | 1.10% |
Egypt | 1.05% |
Dominican Republic | 1.01% |
Cayman Islands | 0.95% |
Italy | 0.91% |
Switzerland | 0.86% |
Luxembourg | 0.84% |
Ukraine | 0.81% |
Indonesia | 0.81% |
Russia | 0.73% |
Spain | 0.68% |
Bahrain | 0.66% |
Nigeria | 0.57% |
Ireland | 0.55% |
Ivory Coast | 0.51% |
Kenya | 0.48% |
Oman | 0.47% |
South Africa | 0.43% |
Angola | 0.39% |
Finland | 0.38% |
United Arab Emirates | 0.38% |
Sweden | 0.37% |
Bermuda | 0.35% |
Gabon | 0.34% |
El Salvador | 0.30% |
Honduras | 0.29% |
Costa Rica | 0.29% |
Germany | 0.28% |
Ecuador | 0.28% |
Ghana | 0.27% |
Denmark | 0.27% |
Zambia | 0.26% |
Senegal | 0.26% |
Mongolia | 0.25% |
Macau | 0.23% |
Turkey | 0.20% |
Hong Kong | 0.20% |
Chile | 0.18% |
Norway | 0.16% |
Australia | 0.15% |
Jamaica | 0.14% |
Peru | 0.11% |
Israel | 0.11% |
China | 0.08% |
Kazakhstan | 0.07% |
Sri Lanka | 0.07% |
Guatemala | 0.06% |
Jordan | 0.06% |
Iraq | 0.06% |
Morocco | 0.05% |
Venezuela | 0.05% |
Lebanon | 0.04% |
Kuwait | 0.04% |
Pakistan | 0.02% |
Total Investments | 100.00% |
Net Currency Exposure Breakdown | Portfolio % |
United States Dollar | 98.71% |
Japanese Yen | 0.73% |
Indian Rupee | 0.31% |
Egypt Pound | 0.26% |
Indonesian Rupiah | 0.26% |
Brazilian Real | 0.19% |
Russian Rubles | 0.18% |
Nigerian Naira | 0.09% |
Argentine Peso | 0.05% |
Mexican Peso | 0.05% |
Great British Pound | 0.02% |
Malaysian Ringgit | 0.01% |
Swiss Franc | -0.01% |
Chilean Peso | -0.01% |
Colombian Peso | -0.01% |
Canadian Dollar | -0.09% |
Euro | -0.74% |
Total Net Assets | 100.00% |
Credit Rating | Portfolio % |
AAA | 7.55% |
AA | 1.46% |
A | 2.01% |
BBB | 23.64% |
BB | 26.12% |
B | 20.28% |
CCC | 7.37% |
CC | 1.63% |
C | 0.09% |
D | 0.22% |
Not Rated | 5.54% |
Short Term Investments | 1.38% |
Reverse Repurchase Agreements | -0.12% |
N/A | 2.83% |
Total | 100.00% |
Bonds By Maturity | Portfolio % |
Less than 1 year | 8.54% |
1 to 5 years | 54.29% |
5 to 10 years | 26.20% |
10 to 20 years | 6.11% |
20 to 30 years | 3.61% |
More Than 30 years | 0.30% |
Other | 0.95% |
Total Net Assets | 100.00% |
Portfolio Statistics: | |
Average Coupon: | 7.74% |
Average Bond Price: | 101.59 |
Percentage of Leverage(based on gross assets): | |
Bank Borrowing: | 0.00% |
Investment Operations: | 45.26% |
Preferred stock: | 0.00% |
Tender Option Bonds: | 0.00% |
VMTP Shares: | 0.00% |
Total Fund Leverage: | 45.26% |
Average Maturity: | 5.57 Years |
Effective Duration: | 4.77 Years |
Total Net Assets: | $1,048.79 Million |
Net Asset Value: | $12.16 |
Number of Holdings: | 1613 |
Portfolio Turnover: | 32% |
* Investment Operations may include the use of certain portfolio management techniques such as credit default swaps, dollar rolls, negative cash, reverse repurchase agreements and when-issued securities. |
The foregoing portfolio characteristics are as of the date indicated and can be expected to change. The Fund is a closed-end U.S.-registered management investment company advised by AllianceBernstein L. P. |
View original content:http://www.prnewswire.com/news-releases/ab-global-high-income-fund-releases-monthly-portfolio-update-301117241.html
SOURCE AB Global High Income Fund, Inc.

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