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駿利亨德森遠見基金 - 泛歐策略基金 A2 HSGD(0P00012TE6)

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14.500 -0.030    -0.21%
04/11 - 延遲資料. SGD 貨幣
種類:  基金
市場:  盧森堡
發行者:  骏利亨德森投资香港有限公司
國際證券識別碼(ISIN):  LU0506197887 
資產類別:  股票
  • 晨星評級:
  • 總資產: 811.46K
Janus Henderson Horizon Pan European Alpha Fund A2 14.500 -0.030 -0.21%

0P00012TE6綜觀

 
你可在本頁找到深入的駿利亨德森遠見基金 - 泛歐策略基金 A2 HSGD公司檔案,包括0P00012TE6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

Alt - Long/Short Equity - Other

總資產

811.46K

費用

1.88%

基金成立

2014年5月21日

投資策略

基⾦旨在於任何市況下,在任何 12 個⽉期間提供正(絕對)回報。基⾦透過建立⻑短倉將其⾄少三分之⼆的總資產(扣除現⾦後)投資於以下股票或股本相關⼯具:  在歐洲(包括英國)註冊的公司;  從該地區的商業活動中獲取⼤部分收入的公司。 基⾦可投資於任何⾏業內任何規模的公司,包括⼩市值公司。

聯絡資訊

地址 201 Bishopsgate
London,London EC2M 3AE
United Kingdom
電話 8002270486

主要管理層

名稱 主旨 成立於 直至
Robert Schramm-Fuchs Portfolio Manager 2018 now
自傳 "Robert Schramm-Fuchs is a Portfolio Manager at Janus Henderson Investors responsible for managing the European Focus strategy since 2019. Robert joined Henderson in 2014 as a European equity analyst. Prior to Henderson, he was with Macquarie's global alternative energy and utilities research team from 2010. Before this, he was head of the renewables research team at Commerzbank based in Frankfurt. He also worked with BHF Bank and Independent Research covering the solar sector for nine years. Robert received a diploma in international management from Friedrich-Schiller University of Jena. He has 14 years of financial industry experience."
John Bennett Director 2010 now
自傳 "John Bennett is Director of European Equities at Janus Henderson Investors and Fund Manager on the Janus Henderson Continental European and Pan-European long-only and long/short strategies. John has held these roles since 2011 when his previous company, Gartmore, was acquired by Henderson. Prior to Gartmore, he served as fund manager at Global Asset Management for 17 years. During this time, he managed their flagship European long-only and European equity long/short hedge funds. Before this, he was a fund manager at Ivory & Sime. John has 32 years of financial industry experience."
Leopold Arminjon - 2013 2015
自傳 Léopold Arminjon – Investment Manager Léopold joined Henderson from Gartmore in 2011 as a Portfolio Manager for European Large Caps, managing long and long/short equities. Before joining Gartmore in 2004 he was at Cheuvreux (Paris) where he spent over two years as a Research Analyst focusing on the Telecom and Media sectors. Prior to this he held a number of research roles, including Head of Telecom Research at Kepler Equities from October 2001 to December 2004. Léopold graduated from HEC (ecole des Hautes Etudes Commerciales) in 1997.
Paul Casson Senior Portfolio Manager 2008 2013
自傳 Paul has managed the Artemis Pan-European Absolute Return Fund since launch in July 2014. After graduating in accounting from Queen's University, Belfast in 1995, he worked as an auditor for KPMG. In 1997, he joined Martin Currie as a trainee fund manager, moving to SVM Asset Management four years later. There he was lead manager on its continental and pan-European mandates, and assistant manager of a long-short, pan-European equity fund. In 2005, he joined Henderson Global Investors as director of pan-European equities. Paul joined Artemis in April 2013.
David Elms Head 2006 2008
自傳 "David Elms is Head of Diversified Alternatives for Janus Henderson Investors responsible for enhanced index, risk premia, and hedge portfolios. Prior to joining Henderson in 2002, he spent eight years as a founding partner at Portfolio Partners. He was initially based in Melbourne, where he managed derivatives and enhanced index portfolios, and was later seconded to Aviva in London in a corporate strategy role following Aviva’s acquisition of Portfolio Partners. Earlier, he spent three years as associate director at County NatWest Investment Management, Melbourne, where he was responsible for equities and equity derivative trading as well as quantitative research. David received a BCom degree (Hons) from the University of Melbourne, Australia. He has 28 years of financial industry experience."
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