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    ABIMX U.S.: Nasdaq

    AB Impact Municipal Income Shares

    ABIMXUS
    Last Updated: Oct 19, 2021 12:00 a.m. EDT

    $ 10.88

    -0.01 -0.09%
    Previous Close
    $10.89
    Advanced Charting
    10.47 52 Week Range 11.10

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    Overview

    ABIMX Overview

    Lipper Leader

    YTD Lipper Ranking:Quintile 5 (92nd percentile)
    • 5 Total Returns
    • 4 Consistent Return
    • 2 Preservation
    • 4 Tax Efficiency
    • 5 Expense

    Lipper Leaders Key

    • Highest
    • 5
    • 4
    • 3
    • 2
    • 1
    • Lowest

    Fund Details

    Category High Yield Muni
    Portfolio Style High Yield Muni
    Fund Family AB Funds
    Fund Status Open
    Fund Inception September 12, 2017
    Managers
    Norton
    Uy

    Investment Policy

    The Fund seeks to earn the highest level of current income. The Fund pursues its objective by investing principally in high-yielding municipal securities of any credit quality. The Fund will invest at least 80% of its net assets in municipal securities that pay interest that is exempt from federal income tax.

    Fees & Expenses

    Front load N/A
    Deferred load N/A
    Max. redemption fee N/A
    Total expense ratio 0%
    12 b-1 N/A
    Turnover 14%

    Risk Measures

    Alpha 0.48
    Beta 0.06
    Standard deviation 1.69
    R. squared 0.04

    Min. Investment

    Standard (taxable) N/A
    IRA N/A

    Lipper Ranking & Performance

    Fund Return Category1 Index (Barclay US Agg) % rank in category Quintile rank
    YTD 2.53% 4.03% -1.99% 92% 5
    1yr 6.59% 8.27% -1.28% 85% 5
    3yr2 7.26% 6.01% 5.51% 11% 1
    5yr2 N/A 4.35% 2.93% N/A N/A
    10yr2 N/A 5.49% 3.01% N/A N/A
    • 1Hi Yld Muni Debt Funds
    • 23, 5 and 10 Year Returns are Annualized

    Recent News

    No Headlines Available

    No Headlines Available

    Top Holdings

    No Data Available

    Distributions

    Income dividend $0.02
    Dividend frequency Daily
    Capital Gain (2020) N/A
    Capital Gain (YTD) N/A

    Distribution History

    Date Income Distribution Capital Gains Distribution
    YTD $0.21 -
    2020 $0.32 -
    2019 $0.34 -
    2018 $0.31 -
    2017 $0.07 -

    Fund Comparison

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