- What are the top holdings of ABLOX?
- A machine-readable holdings disclosure for Alger Balanced Portfolio Class I-2 (ABLOX) is not available from our data sources — fund families sometimes register portfolio filings under a sibling share class or outside the SEC's structured datasets. Rather than estimate, we leave the section blank; the issuer's website carries the authoritative portfolio list.
- What sectors does ABLOX invest in?
- Alger Balanced Portfolio Class I-2 (ABLOX) allocates across the sectors shown above. The largest exposure tops the list; the rest follow in descending weight order.
- What sector is ABLOX most exposed to?
- ABLOX's full sector breakdown is on the Sectors tab. The largest sector weight is shown there along with the rest of the allocation.
- Is ABLOX a US-only fund?
- The country allocation card on this page shows ABLOX's geographic exposure. Funds with > 95% US weight are effectively US-only; international or global funds will show meaningful weights across multiple countries.
- What does ABLOX invest in?
- The portfolio manager primarily targets equity investments in companies identified for their robust growth prospects. Alongside this, the fund allocates capital to fixed-income instruments, prioritizing those that not only produce income but also offer the potential for an increase in value. As a standard practice, at least one-quarter (25%) of the fund's net assets are dedicated to debt securities, and an equivalent minimum of 25% is allocated to equity holdings. Additionally, the fund maintains the option to invest up to 10% of its net assets in debt instruments with lower credit ratings, provided they receive a rating of 'B' (or an equivalent grade) or higher from any accredited rating agency.