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本子基金的主要目標是進行多元化投資,主要投資於低度或中度收入開發 中國家公開或非公開發行人所發行之可轉讓固定收益有價證券及固定收 益貨幣市場工具。這些國家經常被稱為「新興邊境債務市場」。基本上, 邊境經濟體處於開發初期,且其成長速度預期會快於新興或已開發經濟體。 邊境市場的市值及評等通常低於新興市場。絕大部分的投資將置於中南美 洲(包括加勒比海)、中歐、東歐、亞洲、非洲及中東。具體來說,將投資 於投資經理公司能夠評估特定政治及經濟風險之國家,以及業已進行特定 經濟改革並達到特定成長目標之國家。本子基金之目標為,於數年之期間 內績效優於指標-JPM Next Generation Markets ex Argentina USD Index (NGEMNOAR)。
名稱 | 主旨 | 成立於 | 直至 |
---|---|---|---|
Marcin Adamczyk | - | 2020 | now |
Leo Hu | - | 2019 | now |
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. |
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