AllianceBernstein Global High Income Fund Releases Monthly Portfolio Update

 AllianceBernstein Global High Income Fund Releases Monthly Portfolio Update

PR Newswire

NEW YORK, Aug. 27, 2013

NEW YORK, Aug. 27, 2013 /PRNewswire/ --AllianceBernstein Global High Income
Fund, Inc.[NYSE: AWF] (the "Fund") today released its monthly portfolio update
as of July 31, 2013.

AllianceBernstein Global High Income Fund, Inc.
Top 10 Fixed Income Holdings
                                                         Portfolio %
1) Russian Agricultural Bank OJSC Via RSHB Capital
                                                         0.92%
SA 7.75%, 5/29/18
2) Argentina Boden Bonds 7.00%, 10/03/15      0.92%
3) Ivory Coast Government International Bond
                                                         0.77%
5.75%, 12/31/32
4) Brazilian Government International Bond
                                                         0.68%
12.50%, 1/05/22
5) Dominican Republic International Bond 8.625%,
                                                         0.66%
4/20/27
6) Turkey Government Bond 9.00%, 1/27/16        0.56%
7) Argentina Bonar Bonds Series X 7.00%, 4/17/17     0.53%
8) El Salvador Government International Bond
                                                         0.49%
7.65%, 6/15/35
9) Dominican Republic International Bond 16.00%,
                                                         0.49%
7/10/20
10) VTB Bank OJSC Via VTB Capital SA 6.875%,
                                                         0.48%
5/29/18
Fixed Income Holdings by Security Type
                                                         Portfolio %
Corporates - Non-Investment Grades
Industrial
Consumer Non-Cyclical              7.52%
Energy                          5.79%
Capital Goods                    5.48%
Communications - Media           5.25%
Technology                          4.72%
Basic                         4.27%
Communications - Telecommunications      2.73%
Consumer Cyclical - Other          2.66%
Consumer Cyclical - Automotive          2.19%
Other Industrial           2.05%
Services               1.86%
Consumer Cyclical - Retailers         1.74%
Transportation - Services            1.22%
Consumer Cyclical - Entertainment     0.80%
Transportation - Airlines          0.27%
Consumer Cyclical - Restaurants        0.11%
 SUBTOTAL                 48.66%
Financial Institutions
Banking                       2.26%
Other Finance              1.61%
Insurance               0.94%
Finance               0.79%
Brokerage                    0.38%
REITS                        0.12%
 SUBTOTAL                           6.10%
Utility
Electric                          1.60%
Natural Gas                            0.78%
 SUBTOTAL                                   2.38%
SUBTOTAL                                      57.14%
Corporates - Investment Grades
Financial Institutions
Insurance                    1.49%
Banking                   1.25%
REITS                  0.47%
Finance                 0.23%
Other Finance                   0.20%
 SUBTOTAL                        3.64%
Industrial
Basic                   1.55%
Capital Goods                      0.23%
Communications - Media             0.22%
Communications - Telecommunications      0.17%
Transportation - Airlines            0.07%
Consumer Cyclical - Other            0.02%
 SUBTOTAL                     2.26%
Non Corporate Sectors
Agencies - Not Government Guaranteed 0.39%
SUBTOTAL                     0.39%
Utility
Natural Gas              0.14%
Electric          0.06%
 SUBTOTAL                    0.20%
SUBTOTAL                        6.49%
Collateralized Mortgage Obligations
Non-Agency Fixed Rate                 3.67%
Non-Agency Floating Rate                 2.40%
SUBTOTAL                6.07%
Governments - Treasuries
Treasuries                           5.03%
SUBTOTAL                                 5.03%
Bank Loans
Industrial
Consumer Non-Cyclical                    0.90%
Consumer Cyclical - Automotive     0.75%
Technology                 0.61%
Consumer Cyclical - Entertainment          0.51%
Services                 0.46%
Basic                 0.38%
Consumer Cyclical - Retailers               0.36%
Capital Goods                  0.19%
Communications - Media                  0.16%
Other Industrial            0.16%
Energy         0.08%
Consumer Cyclical - Other         0.03%
SUBTOTAL            4.59%
Non Corporate Sectors
Foreign Local Government - Municipal     0.12%
SUBTOTAL                    0.12%
SUBTOTAL               4.71%
Emerging Markets - Corporate Bonds
Industrial
Consumer Non-Cyclical           1.18%
Communications - Telecommunications    0.70%
Capital Goods                        0.49%
Basic                   0.45%
Communications - Media           0.21%
Consumer Cyclical - Other         0.21%
Transportation - Airlines    0.18%
Consumer Cyclical - Retailers        0.14%
Transportation - Services    0.11%
SUBTOTAL      3.67%
Financial Institutions
Banking            0.23%
Finance           0.18%
SUBTOTAL                   0.41%
SUBTOTAL                      4.08%
Emerging Markets - Sovereigns            4.02%
Commercial Mortgage-Backed Securities
Non-Agency Fixed Rate CMBS       2.05%
Non-Agency Floating Rate CMBS       0.32%
SUBTOTAL          2.37%
Preferred Stocks
Financial Institutions         2.11%
Industrial    0.01%
SUBTOTAL             2.12%
Quasi-Sovereigns
Quasi-Sovereign Bonds            2.04%
SUBTOTAL                2.04%
Emerging Markets - Treasuries                       1.04%
Governments - Sovereign Agencies              0.93%
Local Governments - Municipal Bonds              0.93%
Governments - Sovereign Bonds          0.80%
Asset-Backed Securities
Home Equity Loans - Fixed Rate         0.62%
Home Equity Loans - Floating Rate         0.13%
SUBTOTAL                     0.75%
Local Governments - Regional Bonds               0.50%
Inflation-Linked Securities              0.23%
Common Stocks                    0.20%
Supranationals               0.13%
Options Purchased - Puts
Swaptions                 0.02%
Options on Funds and Investment Trusts    0.01%
SUBTOTAL  0.03%
Short-Term Investments
Investment Companies                      0.39%
Total Fixed Income                     100.00%
Country Breakdown
                                                          Portfolio %
United States                                            65.37%
United Kingdom                      4.12%
Brazil              3.41%
Russia               3.28%
Argentina               1.63%
Luxembourg                 1.61%
Canada             1.48%
Netherlands             1.40%
Germany            1.30%
Dominican Republic                1.28%
South Africa          1.00%
France       0.82%
Ireland     0.80%
Italy                       0.77%
Ivory Coast                          0.77%
Indonesia                         0.65%
Switzerland                         0.61%
El Salvador                        0.61%
Bermuda                        0.58%
Turkey                     0.56%
United Arab Emirates                           0.53%
Peru                  0.47%
Croatia                  0.45%
Colombia                   0.45%
Spain                0.45%
Mexico                0.40%
Kazakhstan                  0.38%
Barbados                0.32%
Chile            0.32%
Portugal             0.32%
Australia                 0.27%
Costa Rica                  0.27%
Philippines                0.26%
Uruguay               0.23%
Ghana              0.23%
Singapore              0.22%
Sweden                              0.22%
Norway                            0.22%
Serbia                          0.21%
Nigeria                         0.21%
Trinidad & Tobago                              0.15%
Bahrain                        0.13%
Supranational                          0.13%
Belgium                       0.13%
Japan                     0.13%
Czech Republic                         0.12%
China                   0.12%
Austria                  0.10%
Greece                  0.09%
Denmark                   0.08%
India              0.08%
Ukraine               0.08%
Hong Kong                        0.07%
Virgin Islands (BVI)                        0.06%
Jamaica                    0.05%
Total Investments                      100.00%
Net Currency Exposure Breakdown
                                                         Portfolio %
United States Dollar                    106.72%
Mexican Peso                   2.05%
Russian Rubles                  0.77%
Dominican Peso                  0.52%
Brazilian Real             0.46%
Costa Rican Colon                0.28%
Philippine Peso                           0.28%
Uruguayan Peso                             0.24%
Nigerian Naira                        0.23%
Chilean Peso                        0.22%
Colombian Peso                          0.20%
Hungarian Forint                       0.18%
Swiss Franc                     0.04%
New Turkish Lira                         -0.02%
Indonesian Rupiah                          -0.11%
Peruvian Nuevo Sol                         -0.47%
Euro                -1.51%
Japanese Yen                     -1.94%
Canadian Dollar                   -2.06%
Great British Pound                    -2.10%
Australian Dollar                -3.98%
Total Investments                 100.00%
Credit Quality Breakdown
                                                         Portfolio %
AAA                        2.12%
AA                      0.58%
A                    4.29%
BBB                           14.09%
BB                         24.67%
B                       35.02%
CCC                         14.74%
CC                       0.85%
D                     0.76%
Not Rated                        2.49%
Short Term Investments             0.39%
Total Investments        100.00%
Portfolio Statistics:
Average Coupon:                   8.42%
Average Bond Price :                   103.03
Percentage of Leverage:
Bank Borrowing:             0.00%
Investment Operations:               
                                                         20.33%*
Preferred Stock:          0.00%
Tender Option Bonds:             0.00%
Term Asset-Backed Loans Facility (TALF):   0.00%
Total Fund Leverage:               20.33%
Average Maturity:                  6.72
                                                         Years
Effective Duration:                4.72
                                                         Years
Total Net Assets:                $1,319.72
                                                         Million
Net Asset Value:                  $15.30
Number of Holdings:                   942
Portfolio Turnover:               38%
* 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.

SOURCE AllianceBernstein Global High Income Fund, Inc.

Contact: Shareholder Contact: 1-800-221-5672