As markets become increasingly unpredictable, AllianceBernstein’s low volatility investment strategies mitigate downside risks while also capturing upside returns. Our investments help clients stay invested through various market cycles, filtering out short-term noise by holding higher quality, less volatile, and attractively valued companies.
Why consider a low volatility investment strategy?
Manage volatility risks
An effective investment strategy protects against unexpected events while optimising returns and managing risk.
Why consider a low volatility investment strategy?
Steady equity returns amid changing market conditions
Low volatility investment strategies offer steady growth and equity income in a world of low bond yields.
Why consider a low volatility investment strategy?
Capture market upside potential
Unlock compelling investment opportunities and secular growth trends for long-term capital appreciation.
As a leader in building and developing low volatility investment platforms,AB is committed to identifying new investment solutions for our clients.
Since 1997, we strive to build macro-resilient strategies that deliver steady returns regardless of the market cycle.
Identifying Quality Opportunities
While Also Balancing Risk And Returns
AllianceBernstein’s investment solutions encapsulate strategies that provide lower volatility, mitigate market risks, and deliver steady outperformance over the longer term. Through our fundamental research, quantitative analyses, and active portfolio management, we strive to keep investors on the right side of change.
01
QSP Approach
for Stock Picking
AB’s proprietary QSP (Quality, Stability and Price) approach identifies attractive opportunities at the right price, lowering downside risks.
02
Provides Steadier
Equity Returns
We build portfolios that demonstrate both offensive and defensive features, helping investors achieve best-in-class risk-adjusted returns.
03
Heritage of Deep
Research Insights
Leveraging AB’s global platform of fundamental and big data research, our experienced investment teams identify secular growth trends, ESG risks, and opportunities.
01
QSP Approach
for Stock Picking
AB’s proprietary QSP (Quality, Stability and Price) approach identifies attractive opportunities at the right price, lowering downside risks.
02
Provides Steadier
Equity Returns
We build portfolios that demonstrate both offensive and defensive features, helping investors achieve best-in-class risk-adjusted returns.
03
Heritage of Deep
Research Insights
Leveraging AB’s global platform of fundamental and big data research, our experienced investment teams identify secular growth trends, ESG risks, and opportunities.

AB has a range of low volatility equity solutions

AB Low Volatility Equity Strategy

Learn More