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聯博—新興市場債券基金 A2 CHF H Acc(0P0000XTWW)

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13.660 -0.030    -0.22%
04/11 - 延遲資料. CHF 貨幣
種類:  基金
市場:  盧森堡
國際證券識別碼(ISIN):  LU0805982542 
資產類別:  債券
  • 晨星評級:
  • 總資產: 423.69M
AB FCP I Emerging Markets Debt Portfolio A2 CHF 13.660 -0.030 -0.22%

0P0000XTWW綜觀

 
你可在本頁找到深入的聯博—新興市場債券基金 A2 CHF H Acc公司檔案,包括0P0000XTWW的主要管理層、總資產、投資策略及聯絡資料,以及各類其他資訊。
類別

Other Bond

總資產

423.69M

費用

1.38%

基金成立

2012年12月21日

投資策略

本基金透過投資於由新興及發展中國家發行人所發行的主權債務及非美國公司固定收益證券,尋求透過價格增值及收益以最大程度獲得總回報。本基金投資於以美元及非美元計值的證券。本基金亦可於任何時候將大部份的資產投資於非投資級別證券。基金經理利用其環球固定收益、環球經濟及環球信貸隊伍的研究來管理本基金。

聯絡資訊

地址 One International Finance Centre
Hong Kong, L-2453
Hong Kong
電話 +352 46 39 36 151

主要管理層

名稱 主旨 成立於 直至
Elizabeth Bakarich - 2023 now
自傳 Elizabeth Bakarich, CFA Portfolio Manager—Emerging Market Corporate Debt Elizabeth Bakarich is a Vice President and Portfolio Manager, focusing on emerging-market corporate debt. She is a member of the Credit, Emerging Market Corporate Debt and Emerging Market Debt portfolio-management teams. Bakarich became part of the Emerging Markets team in 2014, working as an associate portfolio manager on corporate and local-currency debt portfolios. Prior to that, she worked in the firm’s London office on the Global and European Credit teams. Bakarich joined the firm in 2006 as an associate with the US Municipal Group and later became supervisor of that group. She holds a BS and MS in mathematics from the Stevens Institute of Technology. Bakarich is a CFA charterholder. Location: New York
Christian DiClementi Vice President 2015 now
自傳 Christian DiClementi is a Vice President and Portfolio Manager at AB, focusing on local-currency emerging-market debt portfolios. He is a member of the Emerging Market Debt and Global Fixed Income portfolio-management teams, and a member of the Emerging Market Debt Research Review team. Prior to joining the Emerging Market Debt portfolio-management team in early 2013, DiClementi served as a member of the Economic Research Group, focusing mainly on sovereign fundamental research for the Caribbean, Central American and Latin American regions. Previously, he worked as an analyst in the firm’s Quantitative Research Group, focusing primarily on global sovereign return and risk modeling. DiClementi joined AB in 2003 as an associate portfolio manager, responsible for New York–based municipal bond accounts. He holds a BS in mathematics (summa cum laude) from Fairfield University. Location: New York
Matthew S. Sheridan Senior Vice President 2006 2023
自傳 Matthew Sheridan is a Senior Vice President and Portfolio Manager at AB, primarily focusing on the Global Multi-Sector Strategy portfolios. He is a member of the Global Fixed Income, Global High Income and Emerging Market Debt portfolio-management teams. Additionally, Sheridan is a member of the Rates and Currency Research Review team and the Emerging Market Debt Research Review team. He joined AB in 1998 and previously worked in the firm’s Structured Asset Securities Group. Sheridan holds a BS in finance from Syracuse University. He is a CFA charterholder. Location: New York
Douglas J. Peebles Senior Vice President 2006 2023
自傳 Douglas J. Peebles is the Chief Investment Officer of AB Fixed Income and a Partner of the firm. As CIO, he is also Co-Chairman of the Interest Rates and Currencies Research Review team. Since joining AB in 1987, Peebles has held several leadership positions, including director of Global Fixed Income (1997–2004), co-head of AB Fixed Income (2004–2008) and Head of Fixed Income (2008–2016). He holds a BA from Muhlenberg College and an MBA from Rutgers University. Location: New York Mr. Peebles is expected to retire from the AllianceBernstein L.P. effective December 30, 2020.
Paul J. DeNoon Director 2006 2023
自傳 Paul DeNoon is Director of AB’s Global High Income and Emerging Market Debt strategies and a Partner of the firm. He leads the management of AB’s large global high-yield franchise, co-managing the firm’s award-winning High Income Fund, named “Best Fund over 10 Years” by Lipper from 2012 through 2015. DeNoon is also a Director, with Shamaila Khan, of AB’s Emerging Market Debt Portfolios, overseeing the management of emerging-market sovereign, quasi-sovereign and corporate debt strategies in both hard and local currencies. He is a member of the firm’s Emerging Market Multi-Asset Strategy Committee, Dynamic Asset Allocation Committee and the Municipal Impact Investment Policy Group. DeNoon is also the Partner overseeing the firm’s corporate responsibility, which includes responsible investment (environmental, social and corporate governance) and diversity and inclusion. He joined AB in 1992, and was instrumental in introducing some of the firm’s flagship emerging-market debt and global high-yield funds. Previously, DeNoon was a vice president in the Investment Portfolio Group at Manufacturers Hanover Trust and an economist in the bank’s Financial Markets Research Group, where he was primarily responsible for the analysis of monetary and fiscal policy. He began his career as a research analyst at Lehman Brothers. DeNoon holds a BA in economics from Union College and an MBA in finance from New York University. Location: New York
Michael L. Mon Portfolio Manager 2006 2023
自傳 Mr. Mon Joined AllianceBernstein in 1999 and is currently Vice President and Portfolio Manager.Michael L. Mon, Director of Asia ex Japan Fixed Income, is a member of the Global Fixed Income and Emerging-Market Debt portfolio management teams. Prior to joining the firm in 1999, Mon was a portfolio manager at Brundage, Story and Rose. Previously, he was employed for three years at OppenheimerFunds, Inc., where he managed sector portfolios. Mon was also an assistant vice president for five years at Mitchell Hutchins Asset Management. He holds a BA and an MBA from New York University. Mon hold CFA
Hardeep Dogra - 2020 2023
自傳 Hardeep Dogra joined AllianceBernstein in July 2019 as a Portfolio Manager for Emerging Market Debt. Previously he worked for the Global Emerging Market Fixed Income team at BNP Paribas Asset Management in London, where he was the portfolio manager responsible for EM Sovereign Hard Currency alpha generation. Prior to that, Dogra worked at Schroder Investment Management as a portfolio manager running absolute-return funds and an actively managed index currency fund. He has also held positions as an interest-rate strategist at Goldman Sachs and a credit analyst at Credit Suisse. Dogra holds a BSc (Hons) in mathematics from Imperial College London and an MSc in finance from Imperial College Business School. Location: London
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