Objective

Long-term growth of capital.

Primary Investments

 
  • Large-cap US stocks, but may invest in non- US securities
  • Normally holds 50 to 70 stocks

Fund Overview

 
  • Seeks growth potential from a high- conviction, concentrated portfolio
  • Uses bottom-up research to identify companies with the ability to deliver persistent growth
  • Led by disciplined team averaging 25 years of industry experience

Management Team

Literature

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The performance shown represents past performance and does not guarantee future results. Current performance may be lower or higher than the performance information shown. The investment return and principal value of an investment in the Portfolio will fluctuate, so that shares, when redeemed, may be worth more or less than their original cost. Performance assumes reinvestment of distributions and does not account for taxes.

Daily Pricing as of  

 
 

Performance for AB Large Cap Growth Fund reflects a 0.38% and 0.08% increase in NAV on June 8, 2016 and November 2, 2017 for all share classes as a result of the Fund recording receivables on its books and records in connection with the distributions by the Alliance Fair Fund and Bank of America Fair Fund, respectively.

The net asset value (NAV) price is the value of one share of the Portfolio as of the date listed. The NAV does not take into account any initial sales charges that may apply when shares are purchased or redemption charges when shares are sold; if these sales charges were reflected, the Portfolio's quoted performance would be lower. The NAV change is the change in value of one share of the Portfolio from the prior day's value.

Distribution yield is calculated on a 30-day rolling basis by annualizing the average of the dividends distributed over the most recent 30 day period, and dividing that figure by the current NAV. For the AB Bond Inflation Strategy Fund and the AB Municipal Bond Inflation Strategy Fund, distribution yield is calculated by annualizing the most recent monthly dividend distribution and dividing that figure by the current NAV. The distribution yield calculation does not include long-term or short-term capital gains distributions.

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The net asset value (NAV) price is the value of one share of the Portfolio as of the date listed. The NAV does not take into account any initial sales charges that may apply when shares are purchased or redemption charges when shares are sold; if these sales charges were reflected, the Portfolio’s quoted performance would be lower. The NAV change is the change in value of one share of the Portfolio from the prior day’s value.