注冊以創建關於儀器的通知
你所追隨的作者的經濟活動和內容
免費註冊 已有帳戶? 登入
該子基金旨在長線提供收益及同時提供獲取資本增長(即為您的投資價值帶來增長)的機會。 該子基金採取主動管理,主要投資於由新興市場借貸人發行的債務證券(例如債券)及可提供參與該等債務證券的衍生工具(其價值與債務證券價格掛鈎的金融合約)組成的多元投資組合。 該子基金亦可將其資產不多於30%投資於前緣市場借貸人發行的債務證券及可提供參與該等債務證券的衍生工具。
名稱 | 主旨 | 成立於 | 直至 |
---|---|---|---|
Thys Louw | - | 2018 | now |
自傳 | Thys is a portfolio manager for the Emerging Markets Hard Currency Debt Strategy and the Africa Fixed Income Opportunities Strategy at Ninety One. He also serves as an investment specialist in the Fixed Income team with a particular focus on Africa. Prior to joining the team, Thys spent two years in the firm’s Client and Investment Groups. He also spent two years at Anglovaal Industries as an analyst within their corporate finance department. Thys holds a Bachelor of Commerce (Hons) degree in Investment Management from the University of Pretoria and is a CFA® Charterholder. | ||
Werner Gey van Pittius | Co-Head of Fixed Income | 2013 | now |
自傳 | Werner is Co-Head of Emerging Market Fixed Income at Ninety One. He is co-portfolio manager for the Emerging Market Local Currency and Hard Currency strategies and contributes to regional analytical research for Latin America. Werner moved to London from Cape Town where he was a fixed income quantitative analyst and managed Ninety One’s asset and liability matching book. Prior to Ninety One, Werner played professional rugby in concurrence with academic programmes. He holds a Bachelor of Commerce degree in Insurance Science from the University of Pretoria, a Bachelor of Commerce (Hons) degree in Financial Economics from the University of Stellenbosch, and a Master of Science degree in Applied Statistics from Oxford University. In addition, Werner obtained the Society of Technical Analysts diploma and was awarded the Chartered Financial Analyst (CFA®) designation from the CFA® Institute in 2006 and is a CFA® Charterholder. | ||
Vivienne Taberer | Trader | 2013 | 2017 |
自傳 | Vivienne is a portfolio manager in the Fixed Income team at Ninety One where she is responsible for Latin American bond and currency markets. Prior to joining the firm in 2002, Vivienne worked at Standard Bank in London for seven years, initially specialising in South African fixed income before moving into sales and trading across the whole spectrum of emerging market debt. Prior to this, she worked at Mizuho International in London and First National Bank trading South African bonds, bond options, FRAs and swaps. Vivienne graduated from the University of the Witwatersrand with a Bachelor of Commerce degree and a Bachelor of Laws degree and has completed the London School of Business Investment Management Programme. | ||
Peter Eerdmans | - | 2011 | 2013 |
自傳 | Peter is in the Emerging Markets Fixed Income team at Ninety One and is co-portfolio manager of the Emerging Market Sustainable Blend strategy. Peter drives the broader sustainability agenda in Emerging Market Debt. Prior to joining the firm Peter worked for Watson Wyatt where he was responsible for bond and currency manager research. Prior to his time at Watson Wyatt, he spent six years as a senior portfolio manager responsible for global bond management at Robeco, where he helped develop the credit process and lead on numerous projects improving the process and tools of the department. He graduated in 1995 with a Master’s degree in Econometrics from Erasmus University Rotterdam. | ||
Emerging Markets Debt Currency Team | - | 2011 | 2013 |
你確定要封鎖 %USER_NAME%?
此舉將會令你與 %USER_NAME% 之間無法看見對方的Investing.com貼文。
%USER_NAME% 已成功加入你的封鎖清單
你剛解除此人的封鎖,必須等候 48 小時後才可再次封鎖。
我覺得這個評論是:
謝謝!
您的報告已被發送到我們的版主審核