AllianceBernstein

2019 Top 400 ranking: 37http://www.alliancebernstein.com

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  • Alternatives

    Bringing together independent agility and institutional strength, we provide a variety of non-traditional investments and strategies to diversify portfolios with new sources of risk and return.

  • Defined Contribution

    The investment capability underpinning our DC investment solutions draws on the investment process and skill of our global multi-asset team, which includes some of our most senior investors from across the firm.

  • Equities

    Our equity strategies span styles, geographies and approaches. They’re unified by a single belief: differentiated research, applied with conviction and discipline, will advance our clients’ success.

  • Fixed Income

    With a global fixed-income platform that integrates fundamental and quantitative research, we’re working to provide clients with insight-driven clarity and conviction for a complex investment world.

  • Global Insurance

    AB’s approach draws on its long history of managing portfolios for insurers, and the realization that these investors have unique needs requiring individualized solutions and service.

  • Multi Asset

    Driven by industry-leading talent and distinctive expertise, we see beyond convention to develop the solutions our clients need.

Head Office
50 Berkeley Street
London
W1J 8HA
United Kingdom
Contact
Nitish Sharma Tel. +44 20 7959 4771
Company website:
http://www.alliancebernstein.com
Parent Company:
AllianceBernstein L.P.
Year Founded:
1967
No. of investment offices worldwide:
17

What’s new

  • Refining Risk Management for an Uncertain World

    Refining Risk Management for an Uncertain World

    White papersTue, 24 Sep 2019

    Investors are facing a strategic conundrum in a world of vast political, macroeconomic and market risks. In this environment, generating a better risk/return balance requires a deeper understanding of the sources of risk across asset classes and new data analysis techniques.

  • Portfolio Risk Management: A Multidimensional Perspective

    Portfolio Risk Management: A Multidimensional Perspective

    White papersMon, 23 Sep 2019

    Asset allocation, effective portfolio design and dynamic management have always been powerful tools for battling volatile markets, but risk has come into even sharper focus lately. Economic growth is slowing, yields are low and stocks have taken several tumbles. Investors are looking for new ways to tackle risk.

  • Cluster Analysis: Managing Risks You Didn’t Know You Had

    Cluster Analysis: Managing Risks You Didn’t Know You Had

    White papersFri, 20 Sep 2019

    From anthropology to politics, analysts in many fields have used cluster analysis to help decipher complex relationships for nearly 90 years. But investment firms are only beginning to discover the powerful applications for detecting unknown risks lurking in market behavior patterns.

  • Investors Can Hold US Companies Accountable to Roundtable Pledges

    Investors Can Hold US Companies Accountable to Roundtable Pledges

    White papersThu, 29 Aug 2019

    Leading US CEOs recently pledged to redefine the role of the corporation in society. But will they make good on their promises? Responsible investors need a clear way to evaluate whether a company is really making progress by doing good for both society and investors.

  • Three Ways to Manage Liquidity Risk in Bond Markets

    Three Ways to Manage Liquidity Risk in Bond Markets

    White papersFri, 23 Aug 2019

    Liquidity risk has grabbed headlines recently after several high-profile funds imploded. The hunt is on to find ways to manage liquidity risk and protect portfolios against further setbacks—but not all investors will be up to the task.

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