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HSBC Global Investment Funds - US Dollar Bond ZC(0P0000N67Z)

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15.332 +0.003    +0.02%
27/12 - 關閉. GBP 貨幣
種類:  基金
市場:  英國
發行者:  HSBC Investment Funds (Luxembourg) S.A.
資產類別:  債券
  • 晨星評級:
  • 總資產: 379.7M
HSBC Global Investment Funds - US Dollar Bond Clas 15.332 +0.003 +0.02%

0P0000N67Z綜觀

 
你可在本頁找到深入的HSBC Global Investment Funds - US Dollar Bond ZC公司檔案,包括0P0000N67Z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

USD Diversified Bond

總資產

379.7M

費用

0.15%

基金成立

2005年6月3日

投資策略

本基金主要投資於由世界各地的投資級別固定收益(例如:債券)以及其他相近類型證券組成的以美元計價的多元化投資組合,以取得總回報。本基金將尋求主要投資於在已發展市場發行的證券。 本基金可對資產抵押證券(「資產抵押證券」)及按揭證券(「按揭證券」)(包括由美國政府擔保的證券)作出重大投資,最多達其淨資產的50%。 本基金可將少於其淨資產的30%投資於具有損失吸收特點的債務工具(包括或然可轉換證券)。本基金可將其淨資產最多10%投資於或有可轉換證券,惟預期不會超過5%。 本基金亦可投資於金融衍生工具,例如期貨、期權、掉期(包括但不限於信貸違約掉期)及貨幣遠期合約。本基金擬將該等金融衍生工具用作(當中包括)管理利息和信貸風險及貨幣持倉,且亦在投資顧問相信投資於金融衍生工具將有助本基金達致其投資用途時用作提高回報。本基金不擬為投資目的而廣泛運用金融衍生工具。

聯絡資訊

地址 Torre Picasso pta. 10
Düsseldorf, 40212
Germany
電話 +49 (0)211 910 0
傳真 (+352) 48 88 96 31

主要管理層

名稱 主旨 成立於 直至
Jerry Samet Senior Portfolio Manager 2018 now
自傳 Mr. Samet is a Senior Portfolio Manager for US Fixed Income portfolios. He joined HSBC Global Asset Management in February 1996. Prior to joining HSBC, Mr. Samet worked for Bankers Trust in the Investment Management Group for 8 years. He was a portfolio manager/trader for eight years and has been working in the industry since 1988. Mr. Samet has a BA in Economics and History from The City University of New York and an MBA in Finance, with a concentration in portfolio management from Fordham University.
Kate Morrissey - 2016 2018
Laurent Lacroix - 2014 2016
Guy Dunham Trader 2011 2014
自傳 Guy Dunham is a strategist and lead portfolio manager in the International Fixed Income Group. He focuses on pan-European bond strategies, and is heads of the European, UK and Global ex-US Portfolio Management Team. An employee since 1997, he previously managed a range of European and global fixed income portfolios. Prior to this, he spent five years at Lazard Asset Management where he was initially a member of the Performance and Risk Analysis Team, before moving to the Fixed Income desk, where he covered global bond markets. Before Lazard, Guy worked as an actuarial associate in the Employee Benefits division of Towers Perrin. He obtained an MA (Hons) in Mathematics from Cambridge University.
Azim MEGHJI Head 2008 2011
自傳 Mohamed Azim Meghji, Head of Fixed Income at Santander Asset Management UK, has 17 years’ experience in fund management. He joined Santander Asset Management UK in October 2011. Prior to joining, Azim worked at HSBC Global Asset Management where he had overall responsibility for all credit investment funds in London – this included Sterling, US and Global credit products for both retail and institutional clients. During his time at HSBC, Azim was also a member of various committees including the Global Strategic and Credit Committees as well as being the chair of the Global Credit Asset Allocation Committee. Prior to this, Azim was a Credit Research Analyst both in London and New York. He began his career with Deutsche Bank in 2000 as an analyst having just graduated with a First Class honours degree in Economics. He holds the IMC and SFA qualification and is also a CFA Charterholder.
Jerry Samet Senior Portfolio Manager 1999 2008
自傳 Mr. Samet is a Senior Portfolio Manager for US Fixed Income portfolios. He joined HSBC Global Asset Management in February 1996. Prior to joining HSBC, Mr. Samet worked for Bankers Trust in the Investment Management Group for 8 years. He was a portfolio manager/trader for eight years and has been working in the industry since 1988. Mr. Samet has a BA in Economics and History from The City University of New York and an MBA in Finance, with a concentration in portfolio management from Fordham University.
David I. Fisher Chairman 2001 2005
自傳 David is an equity portfolio manager at Capital Group. He is chairman emeritus of Capital Group International, Inc. He has 47 years of investment experience and has been with Capital Group for 43 years. Before joining Capital, he was an officer of Smith Barney & Co. and a marketing executive with General Electric Company. David holds a master’s degree from the University of Missouri , and a bachelor’s degree from the University of California, Berkeley. He serves as a member of the Los Angeles Society of Financial Analysts and the International Society of Security Analysts.
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