The AB Global High Yield fund (LU0156897901) signed the NAV on 22nd Jun at 3.06 USD with a daily change of -0.33%.

The Fund's five-year performance is mostly lack.
The fund hit an annual low at its last NAV.

AI sold the Fund at 3.63 on 11th Jan losing -1.09%.
The Fund is at the main cycle low at 6 o'clock from 8th Jun, the current position matches the maximum probability of an decline (-0.74%) for the next 2 weeks.

The AI system, in the 3007 market days analysed, identified 16 operations for the Fund. The average change in positive trades (4.77%) was higher than negative trades (-1.05%) at a ratio of 4.5 to 1 and the overall average change is 2.22%
Updated at 23rd Jun - 19:53:39

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YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
2022-1.09%-1.09%                        
2021-2.10%-0.52%-0.53%-1.06%1.07%0.27%0.53%-0.53%-1.06%-0.27%
202022.07%-1.00%5.83%4.89%2.33%2.85%1.39%-1.91%-0.28%4.47%1.87%
2019-0.75%-0.25%-1.00%0.50%
2018-0.01%0.70%-0.24%-0.47%
20171.41%1.42%0.93%-0.46%0.69%-0.69%0.69%-0.46%-0.23%-0.47%
2016-1.43%0.24%0.71%0.24%-0.47%-2.12%
2015
2014-1.13%-0.22%0.21%0.43%0.42%0.21%-0.43%-0.87%-0.88%
20132.41%0.64%-0.21%0.43%1.27%-1.46%-0.21%0.88%-1.74%1.11%1.97%-0.22%
20127.15%3.26%1.58%-0.44%0.22%-1.78%0.22%1.11%1.32%0.87%-0.43%1.08%
20110.94%0.65%0.43%1.08%-0.43%-1.71%3.06%-3.42%1.42%
20108.49%-0.23%3.01%1.57%-3.32%0.94%3.48%2.47%1.75%-1.29%    
YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
2022-16.62%-2.72%-2.80%-1.15%-4.37%-1.22%-5.56%                        
2021-3.67%-0.52%-0.53%-1.06%1.07%0.27%0.53%-0.53%-1.06%-1.07%-1.62%0.82%
2020-5.22%-2.49%-18.37%2.19%4.89%2.33%2.85%1.39%-1.91%-0.28%4.47%1.87%
20196.07%3.69%0.51%-0.25%0.76%-1.26%1.79%0.25%-0.75%-0.25%1.52%
2018-11.45%0.70%-1.62%-0.71%-0.71%-1.67%-0.97%0.49%-1.22%-2.48%-1.78%-2.07%
20170.94%1.42%0.93%-0.46%0.69%-0.69%0.69%-0.46%-0.46%-0.70%
20166.53%-1.76%-1.28%4.40%2.48%-0.73%0.98%1.93%0.71%0.24%-0.47%-1.42%1.44%
2015-10.76%-0.22%0.90%-0.89%0.67%-0.45%-1.79%-1.14%-2.31%-2.60%1.21%-1.92%-2.69%
2014-3.88%-0.22%1.51%0.43%0.42%0.21%-1.26%0.43%-2.55%-0.87%-1.98%
2013-0.85%0.64%-0.21%0.43%1.27%-1.46%-3.82%1.32%-1.74%1.11%1.97%-0.22%
20129.09%3.26%1.58%-0.44%0.22%-2.90%1.61%1.58%1.11%1.32%0.87%-0.43%1.08%
2011-6.54%0.65%0.43%1.08%-0.43%-1.71%0.44%-4.56%-5.00%4.78%-3.42%1.42%
20106.50%0.23%-0.23%3.25%1.57%-5.09%0.47%3.48%2.47%1.75%-1.29%    
YearYearlyJanFebMarAprMayJunJulAugSepOctNovDec
202215.53%1.63%2.80%1.15%4.37%1.22%5.56%                        
20211.57%                                    0.80%1.62%    
202027.29%    1.49%18.37%3.64%                                
2019            0.25%    1.26%                    0.25%    
201811.44%    1.38%0.24%0.71%1.67%0.97%    1.22%    2.48%1.78%2.07%
20170.47%                                    0.23%0.23%    
2016    1.76%1.28%        0.73%                            
201510.76%0.22%    0.89%    0.45%1.79%1.14%2.31%2.60%    1.92%2.69%
20142.75%                        1.26%    2.55%        1.10%
20133.26%                    3.61%                        
2012                    1.12%                            
20117.48%                            4.56%5.00%            
20101.99%    0.23%        1.77%0.47%                        


Signals
DateSignalPriceProfitDays
11.01.2022Sold3.63-1.09%27
15.12.2021Bought3.67
07.10.2021Sold3.7320.71%552
03.04.2020Bought3.09
27.02.2020Sold3.98-0.50%76
13.12.2019Bought4
06.08.2019Sold3.96-1.25%14
23.07.2019Bought4.01
26.03.2018Sold4.22-0.71%31
23.02.2018Bought4.25
01.02.2018Sold4.310.23%64
29.11.2017Bought4.3
27.10.2017Sold4.321.89%301
30.12.2016Bought4.24
14.11.2016Sold4.15-1.43%126
11.07.2016Bought4.21
02.12.2014Sold4.51-2.17%33
30.10.2014Bought4.61
01.07.2014Sold4.751.50%131
20.02.2014Bought4.68
04.02.2014Sold4.621.54%210
09.07.2013Bought4.55
03.06.2013Sold4.74.68%322
16.07.2012Bought4.49
22.05.2012Sold4.413.77%217
18.10.2011Bought4.25
27.06.2011Sold4.597.49%385
07.06.2010Bought4.27
07.05.2010Sold4.371.16%67
01.03.2010Bought4.32
01.02.2010Sold4.32-0.23%27
05.01.2010Bought4.33