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施羅德環球基金系列-環球收息債券(美元)C-月配固定(0P00019BRE)

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91.361 -0.130    -0.14%
14/11 - 延遲資料. USD 貨幣
種類:  基金
市場:  盧森堡
發行者:  Schroder Investment Management Lux S.A.
國際證券識別碼(ISIN):  LU1514167219 
資產類別:  債券
  • 晨星評級:
  • 總資產: 4.23B
Schroder International Selection Fund Global Credi 91.361 -0.130 -0.14%

0P00019BRE綜觀

 
你可在本頁找到深入的施羅德環球基金系列-環球收息債券(美元)C-月配固定公司檔案,包括0P00019BRE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 Flexible Bond - USD Hedged

總資產

4.23B

費用

0.73%

基金成立

2016年11月30日

投資策略

基金旨在通過投資於由全球各地政府及公司發行的定息和浮息證券,以提供收益和資本增值。基金旨在減低跌市時的損失。減低損失不能獲得保證。 基金將最少三分之二的資產投資於由全球各地(包括新興市場國家)政府、政府機構、跨國組織和公司發行的定息和 浮息投資級別及高收益證券。

聯絡資訊

地址 Sennigerberg
Luxembourg, L-1736
Luxembourg
電話 +352 341 342 202
傳真 +352 341 342 342

主要管理層

名稱 主旨 成立於 直至
Martin Coucke - 2021 now
自傳 Martin Coucke Credit Portfolio Manager - 2017: Credit Portfolio Manager at Schroders - 2015: Joined Schroders as Portfolio Analyst - Feb-July 2015: Societe Generale CIB, Long/Short Equity Analyst Intern - July 14-Feb 15: bfinance, Fund Analyst Intern - MSc in Risk and Finance, EDHEC Business School - BSc in Applied Mathematics, Universite Paris 1 Patheon Sorbonne
Julien Houdain - 2020 now
自傳 Julien is a Portfolio Manager in the Global Credit Team. He joined LGIM in September 2007 from Fortis Investments, where he was a Quantitative Strategist in the structured finance team and developed market standard and proprietary models for the pricing and risk management of credit derivatives as well as trading and hedging strategies. Julien has a PhD in Financial Modelling from the Ecole Normale Superieure, Paris, France.
Patrick Vogel Head 2016 2021
自傳 Patrick Vogel is the Head of Credit Europe at Schroders, which involves managing the Credit strategy for Europe. He joined Schroders in 2012 and is based in London. Patrick was a Head of European Credit Portfolio Management at Legal & General Investment Management from 2007 to 2012, which involved managing European Credit Portfolio Management. He was a Senior Portfolio Manager at Deutsche Bank from 2004 to 2007, which involved managing Client portfolios. He was a Portfolio Manager at Frankfurt-Trust from 2000 to 2004, which involved managing Client portfolios. Qualifications: Dipl-Kfm in Business Administration from Johann Wolfgang Goethe-Universitat.
Martin Coucke - 2018 2019
自傳 Martin Coucke Credit Portfolio Manager - 2017: Credit Portfolio Manager at Schroders - 2015: Joined Schroders as Portfolio Analyst - Feb-July 2015: Societe Generale CIB, Long/Short Equity Analyst Intern - July 14-Feb 15: bfinance, Fund Analyst Intern - MSc in Risk and Finance, EDHEC Business School - BSc in Applied Mathematics, Universite Paris 1 Patheon Sorbonne
Jonathan Golan Portfolio Manage1 2018 2019
自傳 Jonathan Golan is a portfolio manager at Man GLG, focusing on corporate bond and dynamic credit strategies. Prior to joining Man GLG in July 2021, Jonathan was a fund manager at Schroders. He joined Schroders in 2013. Jonathan has an MSc in Financial Economics from Oxford University and a BA in Economics from The Hebrew University
Daniel Pearson Portfolio Manager 2018 2019
自傳 Daniel Pearson is a Credit Portfolio Manager who Joined Schroders from Cazenove in 2013. He has a focus on IG and HY auto, Business Services and Property sectors. Qualifications: BSc Business Administration from Bath University, ACCA and IMC.
Alix Stewart Investment Director 2018 2019
自傳 Alix joined Schroders in August 2012 as a credit portfolio manager. Prior to joining Schroders Alix worked as Head of UK Fixed Interest at UBS Global AM from 2011 – 2012, fund manager – global corporate bonds at UBS Global AM 2009 – 2011, Fund manager for High Alpha UK Retail Corporate Bonds at SWIP from 2006 – 2009, fund manager, corporate bonds at Gartmore from 2003 – 2006, and fund manager, corporate bonds, at Standard Life Investments, from 1999-2003. She began her investment career in 1994 as an actuarial trainee at Scottish Mutual (ANFIS). She holds a BSc (Hons) in Economic and Mathematics from University of Leeds.
Peter Harvey Senior Fund Manager 2018 2019
自傳 Peter Harvey is a Senior Fund Manager at Schroders, which involves helping manage the European and Global Credit Fixed income management strategy. He joined Schroders in 2005 and is based in London. Peter was Head of the Cazenove Capital European credit team at Cazenove Capital from 2005 to 2013, responsibilities included credit strategy and management of the Cazenove UK Corporate Bond Fund. Peter joined F&C Asset Management in 1994. He had multiple roles with the group which included running funds that covered emerging market corporate bonds, high yield and distressed debt and culminating in Director, UK Credit. Qualifications: MA in Management and International Relations from St Andrews University.
Konstantin Leidman Portfolio Manager 2018 2019
自傳 Konstantin Leidman is a Credit Portfolio Manager at Schroders, which involves helping manage the Schroders Fixed Income credit strategy. He joined Schroders in 2012 and is based in London. Konstantin was a High Yield Portfolio Manager, Executive Director at UBS Global Asset Management from 2006 to 2012, which involved. He was a Associate Director at UBS Investment Bank from 2004 to 2006, which involved. He was a Analyst at M&G Investment Management from 2003 to 2004, which involved. Qualifications: MBA from London Buisness School; CFA Charterholder.
Michael Scott Portfolio Manager 2016 2018
自傳 Mike Scott is a Portfolio Manager at Man GLG. He began his career at Cazenove Capital Management in 2005 before moving to Schroders in 2006. Mike initially spent four years as a European industrials credit analyst covering investment grade and high yield and went on to become the lead high yield portfolio manager. Mike graduated from Oxford University and is a CFA Charterholder.
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