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GAM多元股票基金系列-歐洲關鍵(0P00000MTL)

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GAM Multistock Europe Focus Equity EUR E歷史數據,更多實時行情請使用搜索框搜索獲取。
94.270 +1.170    +1.26%
15/10 - 關閉. EUR 貨幣 ( 免責聲明 )
種類:  基金
市場:  意大利
發行者:  GAM (Luxembourg) SA
國際證券識別碼(ISIN):  LU0129125448 
資產類別:  股票
  • 晨星評級:
  • 總資產: 165.24M
GAM Multistock Europe Focus Equity EUR E 94.270 +1.170 +1.26%

0P00000MTL綜觀

 
你可在本頁找到深入的GAM多元股票基金系列-歐洲關鍵公司檔案,包括0P00000MTL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

Europe Large-Cap Blend Equity

總資產

165.24M

費用

2.60%

基金成立

2001年6月1日

聯絡資訊

地址 25, Grand Rue
Luxembourg, L-1661
Luxembourg
電話 +41 58 426 6000

主要管理層

名稱 主旨 成立於 直至
Can Elbi - 2013 now
自傳 Can Elbi graduated with an MBA in Finance from the Marshall School of Business at the University of Southern California, Los Angeles in 1998. He joined Credit Suisse Asset Management in Zürich in 1998 as a quantative research analyst responsible for the re-engineering of the equity investment process. In this role, he implemented an optimised alpha builder within Barra. In 1999, Can moved to Credit Suisse First Boston’s equity research team, initially covering the Swiss technology sector, and then ultimately moving to the European Technology sector team in London, responsible for the semiconductor/consumer electronics space. In 2003, he joined Credit Agricole Cheuvreux as a senior equity research analyst with responsibility in the European Technology and Capital Goods sectors. In 2006, he subsequently moved to Sal. Oppenheim to co-head its proprietary trading operations, which was exclusively focused on the European small-cap segment. This is where he extended his expertise of the European small cap market as a fundamental research-driven investor. In 2007, Can left Sal. Oppenheim to establish Bellevue Group’s hedge fund operations.
Andy Kastner Portfolio Manager 2008 2013
自傳 Andy Kastner, CFA, is Portfolio Manager. Joined GAM in July 2008. Lead manager of the Absolute Return European Equity strategy. Previously he worked as a fund manager at Credit Suisse for seven years. Prior to that, he was an analyst and portfolio manager at Bank Vontobel. He started his career at UBS in different functions in investment research and asset management. Master in Banking and Finance, University of Zurich; CFA Charterholder; holder of the CAIA diploma.
Stiffler Reto - 2008 2010
Javier Garcia - 2007 2008
Alan Zlatar Senior Portfolio Manager 2004 2008
自傳 Alan Zlatar is a Senior Portfolio Manager on the Investment Solutions team. Alan is also a voting member of the Investment Solutions Investment Committee and contributes to UBS Asset Management's investment debate, as well as to the evolution and improvement of UBS Asset Management's investment process, working in partnership with the research, implementation and analytics teams. Mr. Zlatar joined UBS Asset Management in February 2018 from Vontobel Asset Management where he was most recently Head of Macro & Strategy and Deputy Head of Group Investment Strategy, Multi Asset Class Investments.
Erdinç Benli - 2006 2007
Plinio Zanetti Portfolio Manager, Analyst 2003 2004
自傳 Plinio Zanetti joined Clariden Leu (former Bank Hofmann) in March 2005 as Fund Manager and analyst. He started his career in 1979 with Swiss Re in Zurich and London. Afterwards he spent more than eighteen years with Bank Leu, first as an analyst and fund manager for Swiss equities and then for several years as a head of the Investment Office (managing director) and a member of the Investment Committee. Then he switched for two years to the Asset Management & Investment Funds business unit of Julius Baer AG as Head Equity Europe and Portfolio Manager Swiss Equities. He holds a MSc. in Economics at the University of St. Gallen.
Gabriele Baumann - 2000 2002
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