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Allianz Strategy 15 IT EUR(0P00016TI1)

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1,036.960 +4.100    +0.40%
06/05 - 關閉. EUR 貨幣 ( 免責聲明 )
種類:  基金
市場:  盧森堡
發行者:  Allianz Global Investors GmbH
國際證券識別碼(ISIN):  LU0882150443 
資產類別:  股票
  • 晨星評級:
  • 總資產: 369.71M
Allianz Strategy 15 IT EUR 1,036.960 +4.100 +0.40%

0P00016TI1綜觀

 
你可在本頁找到深入的Allianz Strategy 15 IT EUR公司檔案,包括0P00016TI1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 Cautious Allocation - Global

總資產

369.71M

費用

1.30%

基金成立

2015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
Alistair Bates Portfolio Manager 2020 now
自傳 Alistair Bates is a vice president and a portfolio manager with Allianz Global Investors, which he joined in 2007. As a member of the Retail Unit Linked team in Frankfurt, he manages multi-asset portfolios for insurance-related retail products. He has expertise in asset allocation, volatility targeting strategies and factor investing. Additionally, he works to enhance the multi-asset team’s technological capabilities through his work in the Multi-Asset Global Investment Engineering group. He was previously a Portfolio Manager and Analyst with the Allianz Global Investors Multi Asset US team in New York, where he had responsibility for target-date portfolios and institutional pension funds. Mr. Bates has a B.A. in economics and political science from the University of California, San Diego (UCSD). He is a CFA charter holder.
Cordula Bauss - 2018 now
自傳 Cordula Bauss is a senior portfolio manager within the Active Allocation Retail team of Allianz Global Investors Multi Asset Europe, based in Frankfurt. She manages multi asset funds and heads up the FX team in Multi Asset. She also manages the currency overlay strategy for selected portfolios. Cordula joined the firm in 1997 as an analyst for currencies and became a portfolio manager for currency portfolios, currency overlay mandates and emerging markets debt local currencies. In 2008 she began managing balanced portfolios. She started her career as an editor with Finanzen-Verlag in Munich in 1994. Cordula graduated with a university degree in Economics (“Diplom-Volkswirtin”) from the University of Göttingen.
Massimiliano Pallotta - 2018 now
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.
Cordula Bauss - 2016 2018
自傳 Cordula Bauss is a senior portfolio manager within the Active Allocation Retail team of Allianz Global Investors Multi Asset Europe, based in Frankfurt. She manages multi asset funds and heads up the FX team in Multi Asset. She also manages the currency overlay strategy for selected portfolios. Cordula joined the firm in 1997 as an analyst for currencies and became a portfolio manager for currency portfolios, currency overlay mandates and emerging markets debt local currencies. In 2008 she began managing balanced portfolios. She started her career as an editor with Finanzen-Verlag in Munich in 1994. Cordula graduated with a university degree in Economics (“Diplom-Volkswirtin”) from the University of Göttingen.
Armin Kayser - 2015 2018
自傳 Mr. Kayser is a senior portfolio manager with Allianz Global Investors, which he joined in 1998. He is a member of the Multi-Asset team and manages retail and institutional strategies with a European and global focus. Mr. Kayser has also managed emerging-market bond funds with the firm’s fixed-income team. He has 25 years of investment-industry experience and previously worked at Swiss Bank Corporation. Mr. Kayser has a master’s degree in economics from the University of Mannheim.
Zijian Yang Portfolio Manager 2015 2016
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.
Cordula Bauss - 2015 2015
自傳 Cordula Bauss is a senior portfolio manager within the Active Allocation Retail team of Allianz Global Investors Multi Asset Europe, based in Frankfurt. She manages multi asset funds and heads up the FX team in Multi Asset. She also manages the currency overlay strategy for selected portfolios. Cordula joined the firm in 1997 as an analyst for currencies and became a portfolio manager for currency portfolios, currency overlay mandates and emerging markets debt local currencies. In 2008 she began managing balanced portfolios. She started her career as an editor with Finanzen-Verlag in Munich in 1994. Cordula graduated with a university degree in Economics (“Diplom-Volkswirtin”) from the University of Göttingen.
Marcus Stahlhacke Head 2015 2015
自傳 Marcus Stahlhacke is Head of Active Allocation Retail in Allianz Global Investors Multi Asset Europe. He joined the company in 1996 as portfolio manager for balanced portfolios. He was Head of Fixed Income / Benchmark Analysis from 1998 for several years before being appointed as Senior Product Advisor of the Product Advisory division in November 2001. From 2005 to 2010 Marcus Stahlhacke was CIO Systematic Multi Asset-Multi Manager and headed the Fund-of-Funds team. Prior to joining the Multi Asset - Active Allocation team in February 2012, Marcus was CIO - Real Estate Private Clients at Allianz Global Investors.Marcus studied at the universities of Frankfurt und Southampton, graduating in Economics (“Diplom-Volkswirt”) and Business Administration (“Diplom-Kaufmann”). Following his graduation, Marcus worked as a research assistant at the University of Frankfurt before moving to a management consultancy firm. Marcus qualified as a CFA charterholder in 2009 and as a Financial Risk Manager (FRM) in 2002. He further qualified as a Chartered Alternative Investment Analyst (CAIA) in 2012.
Stefan Nixel Managing Director 2009 2015
自傳 Mr. Nixel is a portfolio manager and a managing director with Allianz Global Investors, which he joined in 2004. He is on the Multi Asset-Multi Strategy team and manages portfolios, institutional mandates and retirement-provision funds. Mr. Nixel is responsible for research and development of investment strategies and new product developments. He previously worked on the quantitative portfolio management team at Deka. He has a B.S. in international financial management from the University of Nuertingen and an M.S. in quantitative finance from the Frankfurt School of Finance & Management. Mr. Nixel is a CFA charterholder and a CAIA charterholder.
Matthias Müller - 2009 2012
自傳 Dr. Matthias Mueller is a Managing Director and CIO of the Multi Asset - Active Allocation team. The team was formed in 2005 and since then has experienced strong growth in assets under management. The team specializes in dynamic asset allocation strategies, predominantly for large institutional investors. As a senior portfolio manager, Matthias used to manage various institutional mandates as well as funds for unit-linked insurance products. Before joining the Multi Asset - Active Allocation team, Matthias was responsible for asset allocation and risk management at Allianz Global Investors’ balanced team from 2002 to 2005 and worked as a senior investment strategist at Allianz Asset Management from 1998 to 2002. He started working in the industry in 1995 as an European equity portfolio manager at Allianz Sachversicherungs-AG. Matthias holds a doctorate in monetary economics from J. W. Goethe University in Frankfurt.
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