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施羅德環球基金系列 - 歐洲債券A-ACC(0P00000AP1)

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10.793 -0.020    -0.20%
23/12 - 關閉. EUR 貨幣
種類:  基金
市場:  盧森堡
發行者:  Schroder Investment Management (Europe) S.A.
國際證券識別碼(ISIN):  LU0106235962 
資產類別:  債券
  • 晨星評級:
  • 總資產: 585.07M
Schroder International Selection Fund EURO Governm 10.793 -0.020 -0.20%

0P00000AP1綜觀

 
你可在本頁找到深入的施羅德環球基金系列 - 歐洲債券A-ACC公司檔案,包括0P00000AP1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

EUR Government Bond

總資產

585.07M

費用

0.60%

基金成立

2000年1月17日

投資策略

基金主要透過投資於由歐洲政府、政府機構、跨國組織和公司發行的債券和其他定息及浮息證券所組成的投資組合,以提供資本增值和收益。

聯絡資訊

地址 Sennigerberg
Luxembourg, L-1736
Luxembourg
電話 +352 341 342 202
傳真 +352 341 342 342

主要管理層

名稱 主旨 成立於 直至
Julien Houdain - 2023 now
自傳 Julien is a Portfolio Manager in the Global Credit Team. He joined LGIM in September 2007 from Fortis Investments, where he was a Quantitative Strategist in the structured finance team and developed market standard and proprietary models for the pricing and risk management of credit derivatives as well as trading and hedging strategies. Julien has a PhD in Financial Modelling from the Ecole Normale Superieure, Paris, France.
James Ringer - 2020 now
自傳 James Ringer is a Portfolio Manager at Schroders, which involves managing the Global Multi-Sector strategy within Fixed Income. He joined Schroders in 2013 and is based in London. He holds a BA in Business Economics from The University of Exeter.
Paul Grainger - 2020 2023
自傳 Paul Grainger is Head of Global Multi-Sector Fixed Income at Schroders, which involves managing managing global fixed income portfolios. The team-based investment process draws on the full resources of the Fixed Income team in addition to the broader resources of Schroders. He joined Schroders in 2015 and is based in London. Qualifications: CFA Charterholder; BA (Hons) from University of Exeter.
Bob Jolly Head 2020 2021
自傳 Bob Jolly is the Head of Global Macro Strategy at Schroders, which involves managing the Global Macro business. He joined Schroders in 2011 and is based in London. Bob was Head of Currency, UK Fixed Income and Global Sovereign at UBS Asset Management from 2007 to 2011, which involved managing the Currency, UK Fixed Income and Global Sovereign parts of the business. He was a Fund Manager at SEI Investments from 2005 to 2007, which involved developing customised solutions for institutional pension fund clients. He was Head of Fixed Income Portfolio Construction at Gartmore Investment Management from 2000 to 2005, which involved managing and developing customised solutions for fixed income clients. Qualifications: CFA Charterholder.
Thomas Sartain Portfolio Manager 2012 2020
自傳 Based in London, Tom’s areas of focus include relative value strategies, derivatives and inflation markets. Prior to joining Invesco, Tom was with Schroders Investment Management for 13 years. He worked as a senior member of the multi sector portfolio management team, overseeing Libor plus, global aggregate and sovereign portfolios, including inflation linked. As well as a senior investor, Tom had managerial oversight of the analyst function within the team. Prior to 2005, Tom previously worked in fixed income at RBS Financial Markets.
James Lindsay-Fynn Portfolio Manager 2012 2020
自傳 Mr. Lindsay-Fynn joined Rogge Global Partners in October 2010 and serves as a portfolio manager for developed market debt. Prior to joining Rogge, Mr. Lindsay-Fynn served as an associate director of high-yield sales at Evolution Securities Limited since October 2009. Prior to joining Evolution Securities Limited, Mr. Lindsay-Fynn served as a portfolio manager at GAM London Limited since January 2009. Prior to his role at GAM London Limited, Mr. Lindsay Fynn served as a vice president in credit sales at Bank of America, N.A. since March 2002.
Gareth Isaac Portfolio Manager 2012 2016
自傳 Based in London, Gareth joined Invesco in January 2017 from Schroders Investment Management where, during his 5 years there, he established his credentials as a highly respected investor whilst leading the multi sector investment team. His remit extended across portfolio management, where he led the multi-currency aggregate and unconstrained investment strategies. His asset management and Fixed Income experience extends to almost 20 years, working for organisations such as Newton, AXA, Société Générale and GLG.
David Scammell Manager 2008 2012
自傳 David Scammell, Senior Sovereign Bond Fund Manager at Santander Asset Management, has experience in fund management, specifically running euro, sterling and dollar government bond portfolios and strategies. He has previously worked at a number of major independent asset management companies, such as Schroders and Foreign & Colonial, and leading European central banks, including the Bank of England and the Bank for International Settlements. In his current role, David plays a principle part in the decision making process for euro and sterling interest rate and country investments. He is also the lead manager of the Santander Asset Management Government Bond Fund and the Santander Asset Management Investment Income Portfolio.
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