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本基金透過主要(即至少70%之資產)投資於總部或主要活動設於西歐、中歐和東歐(包括俄羅斯)之發行人所發行之高收益、次投資等級債務證券,尋求高水平定期收入及資本增值。該地區包括若干被視作新興市場的國家。本基金主要投資之債務證券屬高風險,且不需要符合最低信用評等準則。多數(但不一定是全部)會獲國際認可評等機構就信譽給予評等。如部分公開說明書「1.3.2(a)富達永續發展投資框架」一節所述,基金淨資產至少 50%將投資於被視為保有永續發展特色之證券。本基金將持續考慮多種環境及社會特色。在選擇本基金之投資且為監控風險之目的時,投資經理人將參考 ICE BofA Global High Yield European Issuers Constrained (Level 4 24% Cap) Index (「指數」),因為該指數之成分最能代表本基金尋求之曝險特徵。本基金之表現可以根據其指數進行評估。詳請參富達基金部分公開說明書中譯本。
名稱 | 主旨 | 成立於 | 直至 |
---|---|---|---|
Peter Khan | Portfolio Manager | 2019 | now |
自傳 | Peter Khan joined Fidelity in 2000 as a Trader and was promoted to Head of Trading in 2003. In 2009 Peter became a Portfolio Manager and has been responsible for a number of global fixed income portfolios, including Fidelity’s Global High Yield and Global Income funds. Prior to Fidelity, he was with Bayerische Hypo-und-Vereinsbank as the Head of Trading of the London Eurobond desk. He holds an MBA (Finance and International Business) from Stern School of Business, New York University and an A.B. in History from the College of Letters and Sciences, University of California. | ||
James Durance | Co-Manager | 2017 | now |
自傳 | James Durance is co-manager of the fund, which he has managed since January 2019. Since joining Fidelity Investments in 2013, Mr. Durance has worked as a senior credit analyst and portfolio manager. | ||
Andrei Gorodilov | Assistant Portfolio Manager | 2013 | now |
自傳 | Andrei Gorodilov joined Fidelity in 2004 as a Senior Credit Analyst covering the TMT (Telecom, Media & Technology) sector and later added Emerging Market banks to his universe. Andrei moved to an Assistant Portfolio Manager position in June 2009, working closely with Ian Spreadbury on further expansion of Fidelity’s European High Yield franchise, before becoming a Portfolio Manager for this discipline. Prior to joining Fidelity, Andrei spent six years with Credit Suisse in London as a credit analyst. He started his financial services career at the European Bank for Reconstruction and Development in 1996. Andrei earned a BA (Hons) in History from Khabarovsk State University in the Russian Far East before completing a Master’s Degree at Columbia University. | ||
Ian Spreadbury | Director | 2002 | 2013 |
自傳 | Ian has more than 30 years of investment experience, making him one of the most experienced managers in the industry. He joined Fidelity in 1995. Prior to joining us, Ian worked at Legal & General, Sedgwick Forbes and at Duncan C Fraser. His most recent accolade was being awarded the OBSR ‘Outstanding Investor’ honour. Ian holds an MSc in Mathematical Statistics from the University of Sussex and a BSc in Pure & Applied Mathematics from the University College of North Wales. He is a Fellow of the Institute of Actuaries. Ian manages the Fidelity MoneyBuilder Income, Strategic Bond and Extra Income Funds. |
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