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美盛布蘭迪全球機會固定收益基金優類股美元累積型(0P0000V9B8)

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108.710 -0.140    -0.13%
17/12 - 延遲資料. USD 貨幣
種類:  基金
市場:  愛爾蘭
發行者:  Legg Mason Investments Europe Ltd
國際證券識別碼(ISIN):  IE00B3TGKF47 
資產類別:  債券
  • 晨星評級:
  • 總資產: 179.54M
Legg Mason Brandywine Global Opportunistic Fixed I 108.710 -0.140 -0.13%

0P0000V9B8綜觀

 
你可在本頁找到深入的美盛布蘭迪全球機會固定收益基金優類股美元累積型公司檔案,包括0P0000V9B8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 Government Bond

總資產

179.54M

費用

0.80%

基金成立

2012年1月6日

投資策略

該基金尋求取得包括收益及資本增值的最大總回報。該基金將其資產淨值至少三分之二投資於在全球各地受監管市場(誠如基礎基金章程(構成香港發售文件的一部分)附表三所列,當中包括新興市場國家)上市或買賣的債務證券。

聯絡資訊

地址 Romania
Luxembourg, L-1246
Luxembourg
電話 +352 46 66 67 212

主要管理層

名稱 主旨 成立於 直至
Brian L. Kloss Portfolio Manager 2020 now
自傳 Brian L. Kloss, JD, CPA, is a portfolio manager and head of high yield for Brandywine Global. Brian joined Brandywine Global in December 2009。Previously, Brian was co-portfolio manager at Dreman Value Management, LLC (2007-2009); high yield analyst/trader at Gartmore Global Investments (2002-2007); high yield and equity portfolio manager and general analyst at Penn Capital Management, Ltd. (2000-2002); an analyst with The Concord Advisory Group, Ltd. (1998-2000); and an international tax consultant with Deloitte & Touche LLP (1995-1998).
Tracy Chen Portfolio Manager 2020 now
自傳 Tracy Chen, CFA®, CAIA is a portfolio manager and head of Structured Credit for Brandywine Global. She joined the firm in August 2008. Prior to joining Brandywine Global, she was with UBS Investment Bank as director of the fixed income valuation group (2006-2008), GMAC Mortgage Group as a mortgage pricing analyst (2003-2006), Deloitte Consulting as a senior corporate strategy consultant (2001-2003), and J&A Securities Ltd. in Shenzhen, China, as an international corporate finance associate (1995-1999).
Anujeet S. Sareen Portfolio Manager 2016 now
自傳 Anujeet Sareen, CFA, is a Portfolio Manager and has been employed at Brandywine Global since 2016. Previously, he was a managing director of global fixed-income and a global macro strategist, as well as chair of the Currency Strategy Group at Wellington Management in Boston. Over his 22-year career at Wellington (1994-2016), he held a variety of roles while cultivating extensive fixed-income and currency management experience. He earned a B.A. in Computer Science from Brown University.
Jack P. McIntyre Portfolio Manager/Senior Research Analyst 2010 now
自傳 John P. McIntyre, CFA, is a Portfolio Manager and has been employed at Brandywine Global since 1998. Previously he held positions as market strategist with McCarthy, Crisanti & Maffei, Inc. (1995-1998); senior fixed-income analyst with Technical Data, a division of Thomson Financial Services (1992-1995); quantitative associate with Brown Brothers Harriman & Co. (1990); and investment analyst with the Public Employee Retirement Administration of Massachusetts (1987-1989).
David F. Hoffman Managing Director 2010 now
自傳 David is co-lead portfolio manager for the Firm's Global Fixed Income and related strategies. He joined the Firm in 1995. Previously, David was president of Hoffman Capital, a global financial futures investment firm (1991-1995); head of fixed income investments at Columbus Circle Investors (1983-1990); senior vice president and portfolio manager at INA Capital Management (1979-1982), and fixed income portfolio manager at Provident National Bank (1975-1979).
Steve Smith - 2010 2021
自傳 Steve Smith, CA leads Hesperian’s energy investment team. Steve brings a unique perspective to the role with 29 years of experience including 12 years in the oil & gas industry in financial and executive roles, 12 years as an energy research analyst, and has been a portfolio manager since 2007. Prior to becoming a portfolio manager, Steve was an research analyst with FirstEnergy Capital, Macquarie Securities and BMO Nesbitt Burns. In 2002, Steve was awarded the StarMine award as the top oil & gas analyst in North America.
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