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聯博 SICAV 新興市場當地貨幣債券基金 A2$ Acc(0P00013Z2T)

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109.164 0.000    0.00%
15/07 - 關閉. HKD 貨幣 ( 免責聲明 )
種類:  基金
市場:  盧森堡
發行者:  AllianceBernstein (Luxembourg) S.à r.l.
國際證券識別碼(ISIN):  LU0800108341 
資產類別:  債券
  • 晨星評級:
  • 總資產: 57.57M
AB - Emerging Market Local Currency Debt Portfolio 109.164 0.000 0.00%

0P00013Z2T綜觀

 
你可在本頁找到深入的聯博 SICAV 新興市場當地貨幣債券基金 A2$ Acc公司檔案,包括0P00013Z2T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

Global Emerging Markets Bond - Local Currency

總資產

57.57M

費用

1.75%

基金成立

2012年2月22日

投資策略

結合運用收益及資本增長,透過總回報隨時間增加閣下的 投資價值。在正常市場狀況下,本基金通常將其至少80%的資產投資於在新興市場成立或有大量業務活動之發行人或以新興市場貨幣計價的債務證券。此等證券可能低於投資級別。

聯絡資訊

地址 One International Finance Centre
Hong Kong, L-2453
Hong Kong
電話 +352 46 39 36 151

主要管理層

名稱 主旨 成立於 直至
Brad Gibson - 2022 now
自傳 Brad Gibson Portfolio Manager—Asia-Pacific Fixed Income Brad Gibson is a Vice President and Portfolio Manager at AB, focusing on regional Asia and Australian global bond portfolios. He is a member of the Global Fixed Income and Asia-Pacific Fixed Income portfolio-management teams. Prior to joining AB in 2012, Gibson was the head of Rates Strategies at ING Investment Management Australia, where he was responsible for the management of a range of domestic, international, diversified, nominal and inflation-linked bond portfolios. Prior to that, he spent three years at the Commonwealth Bank of Australia as head of Global Markets Singapore and head of Financial Institutions Domestic Sales, New South Wales. Gibson started his investment career with AMP, working in portfolio management and the trading of Australian fixed-interest, interest-rate, currency, inflation-linked bond and derivatives instruments. He was previously a member of both the interest-rate options and bond committees of the Australian Financial Markets Association and has lectured on fixed-income portfolio management for the Securities Institute of Australia (now FINSIA). Location: Hong Kong
Christian DiClementi Vice President 2015 now
自傳 Christian DiClementi is a Vice President and Portfolio Manager at AB, focusing on local-currency emerging-market debt portfolios. He is a member of the Emerging Market Debt and Global Fixed Income portfolio-management teams, and a member of the Emerging Market Debt Research Review team. Prior to joining the Emerging Market Debt portfolio-management team in early 2013, DiClementi served as a member of the Economic Research Group, focusing mainly on sovereign fundamental research for the Caribbean, Central American and Latin American regions. Previously, he worked as an analyst in the firm’s Quantitative Research Group, focusing primarily on global sovereign return and risk modeling. DiClementi joined AB in 2003 as an associate portfolio manager, responsible for New York–based municipal bond accounts. He holds a BS in mathematics (summa cum laude) from Fairfield University. Location: New York
Shamaila Khan Portfolio Manager 2017 2023
自傳 Shamaila Khan is Head of Fixed Income Emerging Markets and Asia Pacific at UBS Asset Management. She is also a member of the Fixed Income Management team, Fixed Income Investment Forum (FIIF), and chairs the Emerging Markets FIIF sub-committee. Shamaila joined UBS Asset Management in 2023, having previously been Head of Emerging Markets Fixed Income at AllianceBernstein where she oversaw $33bn in Emerging Markets (EM) Assets Under Management across EM Dedicated strategies and EM exposure in multisector accounts, and led a team of 23 portfolio managers, credit and sovereign research analysts and traders in New York, London, Hong Kong and Singapore. Shamaila was also portfolio manager on several global multi-sector fixed income funds as well as EM multi-asset funds. Prior to her time at AllianceBernstein, Shamaila served as managing director of emerging-market debt for TIAA-CREF.
Paul J. DeNoon Director 2012 2023
自傳 Paul DeNoon is Director of AB’s Global High Income and Emerging Market Debt strategies and a Partner of the firm. He leads the management of AB’s large global high-yield franchise, co-managing the firm’s award-winning High Income Fund, named “Best Fund over 10 Years” by Lipper from 2012 through 2015. DeNoon is also a Director, with Shamaila Khan, of AB’s Emerging Market Debt Portfolios, overseeing the management of emerging-market sovereign, quasi-sovereign and corporate debt strategies in both hard and local currencies. He is a member of the firm’s Emerging Market Multi-Asset Strategy Committee, Dynamic Asset Allocation Committee and the Municipal Impact Investment Policy Group. DeNoon is also the Partner overseeing the firm’s corporate responsibility, which includes responsible investment (environmental, social and corporate governance) and diversity and inclusion. He joined AB in 1992, and was instrumental in introducing some of the firm’s flagship emerging-market debt and global high-yield funds. Previously, DeNoon was a vice president in the Investment Portfolio Group at Manufacturers Hanover Trust and an economist in the bank’s Financial Markets Research Group, where he was primarily responsible for the analysis of monetary and fiscal policy. He began his career as a research analyst at Lehman Brothers. DeNoon holds a BA in economics from Union College and an MBA in finance from New York University. Location: New York
Marco G. Santamaria Portfolio Manager 2012 2017
自傳 Marco Santamaria is a Senior Vice President and Portfolio Manager, focusing on hard-currency emerging-market debt at AB. He is a member of the Emerging Market Debt and Global High Income portfolio-management teams, and a member of the Emerging Market Debt Research Review team. Santamaria plays an integral role in the Hard Currency Emerging Market Debt, core Emerging Market Debt and Investment Grade Emerging Market Debt strategies, as well as the hard-currency emerging-market debt component of the Global High Income portfolios. He originally worked at AB from 1992 to 1994, and then rejoined the firm in 2010. Prior to that, Santamaria was a founding partner at Global Securities Advisors, a fixed-income hedge fund focused on emerging markets. Earlier in his career, he managed the Emerging Markets Sovereign Strategy Research team at Lehman Brothers. Santamaria holds an AB in economics and English from Amherst College and an MA in international economics from Johns Hopkins University School of Advanced International Studies. He is a CFA charterholder. Location: New York
Michael L. Mon Portfolio Manager 2012 2016
自傳 Mr. Mon Joined AllianceBernstein in 1999 and is currently Vice President and Portfolio Manager.Michael L. Mon, Director of Asia ex Japan Fixed Income, is a member of the Global Fixed Income and Emerging-Market Debt portfolio management teams. Prior to joining the firm in 1999, Mon was a portfolio manager at Brundage, Story and Rose. Previously, he was employed for three years at OppenheimerFunds, Inc., where he managed sector portfolios. Mon was also an assistant vice president for five years at Mitchell Hutchins Asset Management. He holds a BA and an MBA from New York University. Mon hold CFA
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