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Mackenzie Corporate Bond Fund - A(0P000072UR)

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3.928 -0.010    -0.30%
21/06 - 關閉. CAD 貨幣 ( 免責聲明 )
種類:  基金
市場:  加拿大
發行者:  Mackenzie Institutional
資產類別:  債券
  • 晨星評級:
  • 總資產: 336.46M
Mackenzie Corporate Bond Fund - A 3.928 -0.010 -0.30%

0P000072UR綜觀

 
你可在本頁找到深入的Mackenzie Corporate Bond Fund - A公司檔案,包括0P000072UR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

High Yield Fixed Income

總資產

336.46M

費用

基金成立

1999年10月29日

聯絡資訊

地址 180 Queen Street West
Toronto,ON M5V 3K1
Canada
電話 416-922-5322
傳真 416-922-5660

主要管理層

名稱 主旨 成立於 直至
Paul D. Scanlon Senior Analyst 2012 now
自傳 Mr. Scanlon is a Co-Head of Fixed Income, specializing in global credit and tax-exempt strategies. He is responsible for managing all facets of the corporate credit investment process and overseeing Putnam's taxexempt team. In addition, he is accountable for the research, trading, and creation of stand-alone corporate credit portfolios as well as a number of multi-sector strategies. Mr. Scanlon joined Putnam in 1999 and has been in the investment industry since 1986. Paul is a CFA charterholder.
Norman P. Boucher Portfolio Manager 2011 now
自傳 Norman is responsible for managing the cyclical part of Putnam’s high-yield portfolios. He joined Putnam as an Analyst covering the automotive, aerospace, and technology sectors. He served as a Portfolio Manager on the U.S. High Yield group before moving to Putnam’s London office to manage European high-yield portfolios. He rejoined the U.S. High Yield team in 2005. Norman joined Putnam in 1998 and has been in the investment industry since 1985.
Robert L. Salvin Managing Director 2011 now
自傳 Mr. Salvin is a Portfolio Manager of Putnam's global credit strategies. He is responsible for managing convertible securities, U.S. high-yield, global high-yield, and floating rate loan strategies. Mr. Salvin joined Putnam in 2000 and has been in the investment industry since 1986. Prior to joining Putnam, Mr. Salvin was a Managing Director at BancBoston Robertson Stephens from 1997 to 1999, a Director at SBC Warburg Inc. from 1996 to 1997, an Associate at Chase Securities from 1993 to 1996, and an Analyst at Broadview Associates from 1986 to 1991.
Kevin F. Murphy Portfolio Manager 2011 2016
自傳 Kevin Murphy Managing Director and Fixed Income Portfolio Manager As a portfolio manager, Kevin works with our Emerging Markets Debt Investment Team to develop investment strategy in the sector. Kevin joined Wellington Management in 2016. Prior to that, he worked at Putnam (1999 – 2016), BancBoston (1996 – 1999) and at ING Baring Securities in New York City (1991 – 1996). Kevin received his BS in electrical engineering from Columbia University’s School of Engineering and Applied Science (1987).
Bryan C. Krug Senior Vice President 1999 2013
自傳 Bryan C. Krug, CFA, is a managing director of Artisan Partners and a portfolio manager on the Credit team. In this role, he is the portfolio manager for the Artisan High Income Strategy, the Artisan Credit Opportunities Strategy, and the Artisan Floating Rate Strategy, all of which he has managed since each strategy's inception.
Dan Bastasic Portfolio Manager 2002 2011
自傳 Daniel Bastasic has over 15 years of investment experience with extensive portfolio management experience in both equity and fixed income markets. Prior to joining IA Clarington, Mr. Bastasic built an impressive track record as a portfolio manager at a very large Canadian mutual fund company. At that company, Mr. Bastasic managed mutual funds with a combined $2.8 billion in assets under management, with one of the funds under his stewardship receiving a Lipper Award during his tenure as portfolio manager. Mr. Bastasic has a Master of Business Administration, holds a CFA.
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