最新消息
獲取55%折扣優惠 0
👁 挖掘大牛股就用 AI 技術觀點,向專家看齊。周一網購日促銷,即將結束!
獲取優惠
關閉

高盛新興市場債券基金I股美元(0P0000T19N)

建立提醒
新的!
建立提醒
網站
  • 作為提醒通知
  • 您要登陸到您的賬戶才能使用此功能
移動應用程序
  • 您要登陸到您的賬戶才能使用此功能
  • 請確保您使用相同的用戶資料登入

條件

頻率

一次
%

頻率

頻率

傳達方式

狀態

從投資組合中新增/移除 新增至觀察名單
加入觀察名單
新增持倉盤

頭寸被成功添加到:

請為您的持倉投資組合命名
 
8,683.460 +8.340    +0.10%
20/12 - 延遲資料. USD 貨幣
種類:  基金
市場:  盧森堡
發行者:  NN Investment Partners Luxembourg SA
國際證券識別碼(ISIN):  LU0555020998 
資產類別:  債券
  • 晨星評級:
  • 總資產: 5.57B
NN L Emerging Markets Debt Hard Currency - I Cap U 8,683.460 +8.340 +0.10%

0P0000T19N綜觀

 
你可在本頁找到深入的高盛新興市場債券基金I股美元公司檔案,包括0P0000T19N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

總資產

5.57B

費用

0.89%

基金成立

2011年5月2日

投資策略

本子基金主要(至少三分之二)投資於由低或中等所得之開發中國家公開或非公開發行人所發行之可轉讓證券或固定收益貨幣市場工具所組成多元化投資組合。這些國家常被稱為「新興市場」。主要投資於中南美(包括加勒比海)、中歐、東歐、亞洲、非洲及中東。更精確而言,本基金主要投資於在經理人得以評估特殊政治及經濟風險,且曾經歷經濟改革並達成某些成長目標之國家。本子基金之目標為,於數年之期間內績效優於指標-JPMorgan EMBI Global Diversified。按照規定,當計算前述三分之二之投資限制時將不納入以輔助基礎持有之流動資產。

聯絡資訊

地址 Prinses Beatrixlaan 35
Den Haag, 2595 AK
Netherlands
電話 +31-703781781
傳真 +31-703781308
網絡 www.gsam.com

主要管理層

名稱 主旨 成立於 直至
Leo Hu - 2019 now
Marcin Adamczyk - 2020 2024
Sylvain de Ruijter - 2019 2020
Marcelo Assalin Portfolio Manager 2015 2019
自傳 Marcelo Assalin, CFA, an Associate of William Blair Investment Management, LLC, the head of the Emerging Markets Debt team. He is also a member of the leadership team for William Blair Investment Management. Prior to joining William Blair, Marcelo was the Head of Emerging Markets Debt at NN Investment Partners (formerly ING Investment Management), a role he began in 2015. Additionally, he was the lead portfolio manager for blended debt portfolios. Previously, Marcelo was the lead portfolio manager for NNIP’s local currency strategies. Before joining NNIP in 2013, he was a senior EMD portfolio manager and then head of EM Sovereign Debt at ING IM USA (now Voya Financial). Prior to ING IM, Marcelo was with SulAmerica Investimentos in various investment capacities, including CIO from 2005 to 2008. He began his career as a credit analyst at Bank Boston in Sao Paulo, covering Brazilian companies. He also has the Chartered Financial Analyst designation. Education: B.A., Universidade de São Paulo.
Marco Ruijer Portfolio Manager 2013 2019
自傳 Marco Ruijer, CFA, an Associate of William Blair Investment Management, LLC. He is a Hard Currency portfolio manager on the Emerging Markets Debt team. Prior to joining William Blair, Marco was the lead portfolio manager within the Emerging Markets Debt team at NN Investment Partners (formerly ING Investment Management), responsible for managing EMD Hard Currency portfolios. Before joining NNIP in 2013, Marco was a senior fund manager for EMD at Mn Services in the Netherlands where he managed various EMD portfolios. Prior to this, he worked with the Investment Strategy and Risk Management team. Marco began his career in 1998 as an Investment Trainee at Mn. He also has the Chartered Financial Analyst designation. Education: M.A., International Financial Economics, University of Amsterdam.
Victor Rodriguez - 2013 2015
自傳 Victor Rodriguez is a Senior Portfolio Manager with over 20 years experience in Emerging Markets, corporate bonds and investment banking. Victor joined ING in 2003 and became the global lead portfolio manager for non-sovereign credits in 2008. Before joining ING, Victor was with GMA Partners (a boutique investment banking firm in Atlanta), the Corporate Finance Private Placements Group of Wachovia Securities, and Prudential Capital (the private placement arm of The Prudential Insurance Company). Victor received an A.B. from Cornell University and his M.B.A. from Emory University where he was a Woodruff Scholar. He holds the Chartered Financial Analyst® designation.
Sylvain De Ruijter - 2013 2013
Bart van der Made Managing Director 2011 2013
自傳 Bart van der Made, CFA, Managing Director, joined Neuberger Berman in 2013. Mr. van der Made is a lead Portfolio Manager on the Emerging Markets Debt team, responsible for managing EMD Hard Currency portfolios. Prior to joining Neuberger Berman, Mr. van der Made held various roles at ING Investment Management, most recently since 2009, as lead Portfolio Manager of emerging markets debt (hard currency). From 2005 onwards, Mr. van der Made was a Senior Portfolio Manager and before that was the EMD Economist — the role in which he joined in 2000. Mr. van der Made earned a master's degree in Econometrics from Erasmus University in Rotterdam, and has been awarded the Chartered Financial Analyst designation.
評論守則
我们鼓励您使用评论,与用户沟通,共享您的观点并向作者及互相提问。 但是,为了获得有价值和期待的高水平评论,请注意以下标准:
  • 丰富对话
  • 保持关注及正确方向。 只发布与所讨论话题相关的材料。
  • 保持尊重。 即使是负面的意见,也可以用积极的外交辞令进行组织。
  • 用标准书写风格。 包括标点和大小写。
  • 注: 评论中如有垃圾和/或促销信息和链接都将被删除。
  • 避免亵渎、诽谤或人身攻击,对于作者或其他用户。
  • 仅允许中文评论。

垃圾邮件或滥发信息的肇事者都将被从网站删除并禁止以后进行注册,这由Investing.com自由决定。

0P0000T19N評論

寫下您對高盛新興市場債券基金I股美元的看法
 
確定要刪除這個圖表?
 
留言
也張貼至:
 
用新的圖表更換附上的圖表?
1000
由於收到負面的用戶報告,你的評論功能已被暫停。你的狀態會由版主審核。
請等待一分鐘后再次發表評論。
感謝您的評論。請註意,所有的評論都需要我們版主的批準。因此,可能過一些時間您的評論才會出現在我們的網站上。
 
確定要刪除這個圖表?
 
留言
 
用新的圖表更換附上的圖表?
1000
由於收到負面的用戶報告,你的評論功能已被暫停。你的狀態會由版主審核。
請等待一分鐘后再次發表評論。
在留言中加插圖表
確認封鎖

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。

舉報此評論

我覺得這個評論是:

評論被加標記

謝謝!

您的報告已被發送到我們的版主審核
使用 Apple 登入
以 Google 登入
以電子郵件註冊