AllianceBernstein Global High Income Fund, Inc. RELEASES MONTHLY PORTFOLIO UPDATE

29.12.25 22:06 Uhr

NEW YORK, Dec. 29, 2025 /PRNewswire/ -- AllianceBernstein Global High Income Fund, Inc. [NYSE: AWF] (the "Fund") today released its monthly portfolio update as of November 30, 2025.

AllianceBernstein Global High Income Fund, Inc.









Top 10 Fixed-Income Holdings


Portfolio %

1) U.S. Treasury Notes 2.25%, 02/15/27


1.08 %

2) Bausch Health Cos., Inc. 11.00%, 09/30/28


0.53 %

3) DaVita, Inc. 4.625%, 06/01/30


0.46 %

4) Warnermedia Holdings 5.05%, 03/15/42


0.46 %

5) Societe Generale SA 5.512%, 05/22/31


0.44 %

6) Advance Auto Parts, Inc. 7.00%, 08/01/30


0.44 %

7) Dominican Republic Intl Bond 8.625%, 04/20/27


0.40 %

8) Tenet Healthcare Corp. 5.50%, 11/15/32


0.39 %

9) Millennium Escrow Corp. 6.625%, 08/01/26


0.39 %

10) Altice France SA 6.50%, 10/15/31 - 04/15/32


0.39 %




Investment Type


Portfolio %

Corporates - Non-Investment Grade



Industrial



Consumer Non-Cyclical


8.19 %

Communications - Media


6.69 %

Energy


6.47 %

Consumer Cyclical - Retailers


4.95 %

Capital Goods


4.78 %

Consumer Cyclical - Other


4.36 %

Basic


3.73 %

Communications - Telecommunications


3.30 %

Services


3.18 %

Consumer Cyclical - Automotive


2.69 %

Technology


2.40 %

Transportation - Services


1.83 %

Consumer Cyclical - Entertainment


0.84 %

Consumer Cyclical - Restaurants


0.72 %

Other Industrial


0.68 %

Transportation - Airlines


0.54 %

Transportation - Railroads


0.02 %

SUBTOTAL


55.37 %

Credit Default Swaps


13.31 %

Financial Institutions



Finance


2.36 %

REITs


1.38 %

Brokerage


1.03 %

Financial Services


1.00 %

Insurance


0.67 %

Banking


0.46 %

SUBTOTAL


6.90 %

Utility



Electric


1.36 %

Natural Gas


0.05 %

SUBTOTAL


1.41 %

SUBTOTAL


76.99 %

Corporates - Investment Grade



Industrial



Energy


1.82 %

Consumer Cyclical - Other


1.41 %

Consumer Cyclical - Automotive


0.82 %

Basic


0.71 %

Consumer Cyclical - Entertainment


0.59 %

Communications - Media


0.57 %

Consumer Non-Cyclical


0.42 %

Transportation - Services


0.27 %

Technology


0.26 %

Consumer Cyclical - Retailers


0.21 %

Communications - Telecommunications


0.20 %

Transportation - Airlines


0.11 %

Other Industrial


0.07 %

Services


0.05 %

Transportation - Railroads


0.03 %

SUBTOTAL


7.54 %

Financial Institutions



Banking


3.56 %

REITs


0.66 %

Insurance


0.64 %

Finance


0.47 %

Brokerage


0.13 %

SUBTOTAL


5.46 %

Utility



Electric


0.91 %

Other Utility


0.05 %

SUBTOTAL


0.96 %

SUBTOTAL


13.96 %

Emerging Markets - Corporate Bonds



Industrial



Basic


1.61 %

Energy


1.05 %

Consumer Cyclical - Other


0.85 %

Consumer Non-Cyclical


0.58 %

Transportation - Services


0.19 %

Capital Goods


0.16 %

Communications - Telecommunications


0.16 %

Communications - Media


0.02 %

Services


0.02 %

SUBTOTAL


4.64 %

Utility



Electric


0.48 %

Other Utility


0.10 %

SUBTOTAL


0.58 %

Financial Institutions



Banking


0.25 %

Finance


0.05 %

REITs


0.05 %

SUBTOTAL


0.35 %

SUBTOTAL


5.57 %

Bank Loans



Industrial



Technology


1.60 %

Consumer Non-Cyclical


0.85 %

Communications - Media


0.68 %

Communications - Telecommunications


0.35 %

Other Industrial


0.31 %

Capital Goods


0.21 %

Transportation - Services


0.17 %

Consumer Cyclical - Retailers


0.13 %

Consumer Cyclical - Other


0.12 %

Transportation - Airlines


0.10 %

Consumer Cyclical - Automotive


0.08 %

Basic


0.05 %

SUBTOTAL


4.65 %

Financial Institutions



Insurance


0.29 %

Financial Services


0.19 %

Brokerage


0.15 %

Finance


0.15 %

Banking


0.02 %

SUBTOTAL


0.80 %

SUBTOTAL


5.45 %

Emerging Markets - Sovereigns



Emerging Markets - Sovereigns


2.99 %

Credit Default Swaps


-0.25 %

SUBTOTAL


2.74 %

Interest Rate Futures


2.03 %

U.S. Govt & Agency Securities


1.65 %

Collateralized Mortgage Obligations



Risk Share Floating Rate


0.88 %

Non-Agency Fixed Rate


0.28 %

Non-Agency Floating Rate


0.26 %

Agency Fixed Rate


0.16 %

SUBTOTAL


1.58 %

Quasi-Sovereigns



Quasi-Sovereign Bonds


1.38 %

SUBTOTAL


1.38 %

EM Governments


0.72 %

Local Governments - US Municipal Bonds


0.38 %

Common Stocks


0.33 %

Inflation-Linked Securities


0.28 %

Emerging Markets - Treasuries


0.28 %

Collateralized Loan Obligations



CLO - Floating Rate


0.21 %

SUBTOTAL


0.21 %

Commercial Mortgage-Backed Securities



Non-Agency Fixed Rate CMBS


0.18 %

SUBTOTAL


0.18 %

Asset-Backed Securities



Other ABS - Floating Rate


0.10 %

Autos - Fixed Rate


0.03 %

SUBTOTAL


0.13 %

Governments - Sovereign Agencies


0.05 %

Preferred Stocks



Industrials


0.03 %

SUBTOTAL


0.03 %

Rights



Industrial


0.01 %

SUBTOTAL


0.01 %

Forward Currency Exchange Contracts



Currency Instruments


-0.02 %

SUBTOTAL


-0.02 %

Reverse Repurchase Agreements


-0.43 %

Cash & Cash Equivalents



Cash


0.88 %

Funds and Investment Trusts


0.77 %

SUBTOTAL


1.65 %

Derivative Offsets



Futures Offsets


-2.01 %

Swap Offsets


-13.14 %

SUBTOTAL


-15.15 %

TOTAL


100.00 %




Country Breakdown


Portfolio %

United States


67.44 %

United Kingdom


3.09 %

France


2.97 %

Canada


2.89 %

Mexico


1.52 %

Brazil


1.39 %

Italy


1.26 %

Spain


1.23 %

Colombia


1.16 %

India


1.02 %

Germany


1.01 %

Luxembourg


0.90 %

Turkey


0.90 %

Australia


0.71 %

South Africa


0.68 %

Nigeria


0.63 %

Hong Kong


0.61 %

Chile


0.55 %

Israel


0.53 %

Japan


0.45 %

Ireland


0.41 %

Dominican Republic


0.40 %

Argentina


0.39 %

Finland


0.38 %

Netherlands


0.37 %

Indonesia


0.36 %

Peru


0.36 %

Norway


0.35 %

China


0.34 %

Macau


0.34 %

Denmark


0.33 %

Romania


0.33 %

Puerto Rico


0.29 %

Senegal


0.29 %

Jersey (Channel Islands)


0.28 %

Switzerland


0.28 %

Egypt


0.27 %

Guatemala


0.26 %

El Salvador


0.25 %

Slovenia


0.22 %

Panama


0.19 %

Ecuador


0.16 %

Kazakhstan


0.16 %

Uzbekistan


0.16 %

Zambia


0.16 %

Kenya


0.15 %

Angola


0.14 %

Azerbaijan


0.11 %

Ukraine


0.10 %

Poland


0.09 %

Malaysia


0.08 %

Trinidad and Tobago


0.06 %

Greece


0.05 %

Jamaica


0.05 %

Morocco


0.05 %

Kuwait


0.04 %

Serbia


0.03 %

Cash & Cash Equivalents


0.78 %

Total Investments


100.00 %




Net Currency Exposure Breakdown


Portfolio %

US Dollar


100.19 %

Canadian Dollar


0.17 %

Pound Sterling


0.14 %

Brazilian Real


0.03 %

Norwegian Krone


0.02 %

South African Rand


0.02 %

South Korean Won


0.01 %

Chilean Peso


-0.01 %

Euro


-0.57 %

Total Net Assets


100.00 %




Credit Rating


Portfolio %

AAA


2.31 %

AA


-1.17 %

A


0.90 %

BBB


14.51 %

BB


46.65 %

B


23.87 %

CCC


7.94 %

CC


0.25 %

C


0.11 %

D


0.06 %

Not Rated


1.99 %

Short Term Investments


0.77 %

Reverse Repurchase Agreements


-0.43 %

N/A


2.24 %

Total


100.00 %




Bonds by Maturity


Portfolio %

Less than 1 Year


12.71 %

1 to 5 Years


66.79 %

5 to 10 Years


15.88 %

10 to 20 Years


2.84 %

20 to 30 Years


1.10 %

More than 30 Years


0.35 %

Other


0.33 %

Total Net Assets


100.00 %




Portfolio Statistics:



Average Coupon:


7.30 %

Average Bond Price:


97.86

Percentage of Leverage(based on gross assets):



Bank Borrowing:


0.00 %

Investment Operations:*


13.44 %

Preferred Stock:


0.00 %

Tender Option Bonds:


0.00 %

VMTP Shares:


0.00 %

VRDP Shares:


0.00 %

Total Fund Leverage:


13.44 %

Average Maturity:


    4.23 Years

Effective Duration:


    2.94 Years

Total Net Assets:


$989.37 Million

Net Asset Value:


$11.47

Total Number of Holdings:


1,260

Portfolio Turnover:


68.00 %




* Investment Operations may include the use of certain portfolio management techniques such as credit 

default swaps, dollar rolls, negative cash, reverse repurchase agreements and when-issued securities.




The foregoing portfolio characteristics are as of the date indicated and can be expected to change. The

Fund is a closed-end U.S.-registered management investment company advised by AllianceBernstein L. P.

 

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SOURCE AllianceBernstein Global High Income Fund, Inc.