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Allianz Glb Dyn Mult Asst Strat 50(0P00000ZH2)

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Allianz Global Strategy 30歷史數據,更多實時行情請使用搜索框搜索獲取。
5.397 +0.060    +1.16%
24/04 - 延遲資料. EUR 貨幣
種類:  基金
市場:  意大利
發行者:  Allianz Global Investors GmbH
國際證券識別碼(ISIN):  IT0003727325 
資產類別:  股票
  • 晨星評級:
  • 總資產: 44.57M
Allianz Global Strategy 30 5.397 +0.060 +1.16%

0P00000ZH2綜觀

 
你可在本頁找到深入的Allianz Glb Dyn Mult Asst Strat 50公司檔案,包括0P00000ZH2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

EUR Moderate Allocation - Global

總資產

44.57M

費用

1.92%

基金成立

2004年10月1日

聯絡資訊

地址 L-2633 Senningerberg
Frankfurt am Main, 60323
Germany
電話 +49 (0) 69 2443-1140
傳真 Milano

主要管理層

名稱 主旨 成立於 直至
Kelvin CHOW - 2022 2024
自傳 Kelvin joined the group in 2010 and has over 14 years of experience in the financial industry. He focuses on the development of quantitative models and is specialized in technical analysis across multi-asset classes including equites, fixed income and currencies. Kelvin is responsible for generating and implementing the strategic tactical asset allocation , monitoring the portfolio risk and rebalancing the positions for the mixed asset funds in Hong Kong. He has solid and deep knowledge in Hong Kong Mandatory Provident Fund (MPF) and Occupational Retirement Schemes Ordinance (ORSO) scheme area. Prior to joining AllianzGI, he was under the portfolio construction team in BNP Paribas investment, responsible for rebalancing and implementing investment strategies. He has a B.Sc. degree in Economics from the London School of Economics and Political Science. He is also a CAIA charter holder.
Zijian Yang Portfolio Manager 2021 2024
自傳 Dr Zijian Yang is the Head of Multi Asset Asia Pacific of Allianz Global Investors, based in Singapore. He was a portfolio manager in several Multi Asset teams with AllianzGI between 2008 and 2017, first located in Frankfurt am Main and later in Hong Kong. His last position was a senior vice president for Multi Asset Solutions at AllianceBernstein in Singapore, where he oversaw investment activities for multi asset in Asia. Zijian was also previously a fund manager at Schroders in Hong Kong, responsible for their flagship Multi Asset Fund of Funds business. Zijian holds a PhD degree in Computational Finance from the University of Essex, and he has been a CFA charterholder since 2012.
Makoto Kushino Senior Portfolio Manager 2021 2024
自傳 Makoto Kushino is a portfolio manager in the Multi Asset Asia team of Allianz Global Investors, Japan. Before joining AllianzGI, Makoto was a senior trader at Capula Investment Japan, specialising in trend following and global macro relative value strategies. Prior to that, Makoto was a portfolio manager of an absolute return bond fund at Vontobel Asset Management, Switzerland. Makoto obtained a BSc in Polymer Science from the Kyoto Institute of Technology, and holds a MSc in Financial Mathematics from the University of Edinburgh and Heriot Watt University.
Gary Chen - 2020 2022
自傳 Gary Chen is a Portfolio Manager in the Multi Asset Asia Pacific team at Allianz Global Investors since 2014. He shares in the responsibilities of the Multi Asset business and its mandates in the Asia Pacific region, especially asset allocation mandates and volatility-controlled mandates. He is also a member of the Fundamental Multi Asset Investment Council. Prior to that, he worked as in-house Legal Counsel at Allianz Global Investors, responsible for providing legal advice to the firm’s Asia business in various aspects. His diverse prior experience includes infrastructure debt investing, working on mergers and acquisitions as well as practicing law for both legal practices and financial institutions. Gary holds a MBA from the University of Chicago Booth School of Business and law degrees from Duke Law School and Bond University.
Stefan Rittner Portfolio Manager 2017 2020
自傳 Stefan Rittner is a portfolio manager in the multi asset team of Allianz Global Investors Japan Co., Ltd. He manages various multi asset portfolios and develops cross-asset investment strategies. Before joining the team in Japan, Stefan was a portfolio manager in the Multi Asset Active Allocation team of Allianz Global Investors GmbH in Frankfurt, where he was responsible for European retaistrategies, including unit-linked funds, allocation advice mandates and digital solutions. Prior to joining Allianz Global Investors in 2014, he participated in a post-graduate special scholarship program of the German Academic Exchange Service in Japan. He studied Business Administration at the University of Mannheim (MSc, BSc) and International Business at the Smith School of Business at Queen’s University (MIB) and Hitotsubashi University. Stefan became a CFA charter holder in 2018.
Jürgen Bokr Portfolio Manager 2016 2020
自傳 Dr. Jürgen Bokr is a portfolio manager in the Multi Asset - Active Allocation Retail Multi Channel team of Allianz Global Investors. He joined the company in 1995 as a portfolio manager for bonds. Since 2002 he has been responsible for the management of multi asset portfolios including asset allocation, equity and bond portfolios and advises the Trust Department of Commerzbank AG.
Friedrich Kruse - 2016 2017
自傳 Dr Friedrich Kruse is a portfolio manager in Allianz Global Investors‘ Multi Asset team located in Frankfurt. He is also a member of the Multi Asset Research & Development group. Previously he worked in the locations Tokyo and New York for the firm. Prior to joining Allianz Global Investors in February 2011, he worked as research assistant at the university chair of finance at WHU – Otto Beisheim School of Management where he obtained his PhD. He has been a PhD visiting scholar at New York University Stern School of Business. His doctoral research is focused on nonlinear predictions, portfolio optimization and discrete time finance. Friedrich has made work experience with Bankhaus Metzler and Dresdner Kleinwort. He holds a master’s degree in business economics from the University of Passau and was a BA visiting student at the University of Lund in Sweden. Friedrich is also a CFA charterholder.
Massimiliano Pallotta - 2015 2016
自傳 Massimiliano Pallotta has been a portfolio manager in the Retail Unit Linked team of Allianz GIobal Investors Multi Asset Europe in Frankfurt since 2013. He manages various multi asset portfolios for institutional and retail clients. Before joining Allianz Global Investors in Frankfurt in 2013, Massimiliano was Quantitative Portfolio Manager in AllianzGI in Milan where he had worked in risk management since 1997 and also managed multi asset, equity and capital protected portfolios from 2004. He has been working in the industry since 1995. Massimiliano graduated in Mathematics at the University of Milan.
Roberto Bottoli - 2013 2016
Livio Raimondi - 2008 2012
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