EQ/International Managed Volatility Portfolio Class K
Rating
Reward
Risk
Fund Information
Fund Type
Category
Sub-Category
Prospectus Objective
Inception Date
Open/Closed to New Investors
Minimum Initial Investment
Minimum Subsequent Investment
Front End Fee
Back End Fee
Asset Allocation
Cash
Stock
U.S. Stock
Non U.S. Stock
Bond
U.S. Bond
Non-U.S. Bond
Preferred
Convertible
Other
Services Offered
Top Holdings
Similar Funds
Performance
Beta
--
7-Day Total Return
--
30-Day Total Return
--
60-Day Total Return
--
90-Day Total Return
--
Year to Date Total Return
--
1-Year Total Return
--
2-Year Total Return
--
3-Year Total Return
--
5-Year Total Return
--
Last Bull Market Total Return
Last Bear Market Total Return
Forward Dividend Yield
Price
1-Month Low
--
1-Month High
--
52-Week Low
-- - --
52-Week High
-- - --
NAV
1-Month Low
1-Month High
52-Week Low
52-Week High
Company Information
Provider
AXA Equitable
Manager/Tenure
(Years)
(Years)
Alwi Chan (9), Judith A. DeVivo (9), Kenneth T. Kozlowski (8), 7 others
Address
AXA Equitable
New York NY - 10104
New York NY - 10104
Country
United States
Phone Number
877-222-2144
Investment Strategy
The investment seeks to achieve long-term growth of capital. The fund generally allocates approximately 50% of its net assets to a portion of the fund that invests in the common stocks of companies included in the MSCI EAFE® Index (Europe, Australasia, Far East) in a manner that is intended to track the performance of that index, commonly referred to as an indexing strategy. The other portion of the fund invests in futures and options contracts, including contracts on one or more of the MSCI EAFE Index, S&P/ASX 200 Index, Dow Jones EURO STOXX 50 Index, FTSE 100 Index and TOPIX Index and other strategies to manage the fund's equity exposure.