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Jupiter Global Fixed Income Fund L GBP Inc(0P0000SAON)

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11.795 -0.010    -0.07%
17/05 - 關閉. GBP 貨幣 ( 免責聲明 )
種類:  基金
市場:  英國
發行者:  Old Mutual Global Investors (UK) Limited
國際證券識別碼(ISIN):  IE00B3DWTN95 
資產類別:  債券
  • 晨星評級:
  • 總資產: 297.83M
Old Mutual Total Return USD Bond Fund A GBP Income 11.795 -0.010 -0.07%

0P0000SAON綜觀

 
你可在本頁找到深入的Jupiter Global Fixed Income Fund L GBP Inc公司檔案,包括0P0000SAON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 Bond - USD Hedged

總資產

297.83M

費用

1.19%

基金成立

2010年11月11日

投資策略

先機環球動態債券基金的目標是以審慎投資管理方式,在保本之餘爭取最大的總回報。基金可將其資產至少三分之二,投資於由不同到期日之定息證券組成的分散型投資組合。先機環球動態債券基金可將其資產最多百分之20投資於在購買當時具有低於穆迪之Baa級或標準普爾之BBB級,但獲穆迪或標準普爾給予至少B級的定息證券。先機環球動態債券基金將其資產至少百分之 80 投資於在經合組織成員國內的受監管市場上市、買賣或交易之證券,而在任何單一非經合組織成員國的受監管市場之投資,將不得多於其資產淨值之百分之10。先機環球動態債券基金可將其資產淨值不多於 30%投資於具有吸收損失特點的工具,當中不多於先機環球動態債券基金資產淨值的 10% 可投資於或然可轉換債券。先機環球動態債券基金可將其資產淨值最多10%投資於在俄羅斯當地市場買賣的證券。

聯絡資訊

地址 The Wilde-Suite G01, The Wilde, 53 Merrion Square South
Dublin,
Ireland
電話 -

主要管理層

名稱 主旨 成立於 直至
Ariel Bezalel Portfolio Manager 2023 now
自傳 Ariel Bezalel joined Jupiter in 1998 and is currently Fund Manager for the Fixed Interest Team with responsibility for co-managing Jupiter Monthly Income Fund (Unit Trust – fixed interest component), Jupiter High Income Fund (Unit Trust – fixed interest component) and Jupiter Global Managed Fund (Unit Trust – fixed interest component). He has a BA (Hons) Economics from Middlesex University.
Harry Richards - 2023 now
Huw Davies - 2022 now
James Novotny - 2022 now
Mark R. Nash Head 2015 now
自傳 Mark joined Merian in June 2016 and is head of fixed income. He previously worked at Invesco Asset Management since 2001, most recently as head of global multi-sector portfolio management and head of European fixed income strategy.
Nicholas Wall Portfolio Manager 2019 2020
自傳 Nicholas joined Merian as a fixed income portfolio manager in July 2016. Prior to joining the business, Nicholas worked as a fund manager in the global macro team at Invesco Asset Management, from 2007. He is a CFA charterholder and has an economics degree from the University of York.
Nick Maroutsos Portfolio Manager 2019 2019
自傳 Nick joined WCM in 2021; his primary responsibility is portfolio management for our private growth strategy. Since he began his investment career in 1999, Nick's experience includes Global Fixed Income Analyst and Account Manager at PIMCO (Newport Beach and Sydney), founder of Kapstream Capital (Sydney), and Head of Global Bonds at Janus Henderson Investors (Newport Beach). He earned his B.A. in Economics from the University of California, San Diego and his M.B.A. from the University of California, Los Angeles.
Mark R. Nash Head 2015 2019
自傳 Mark joined Merian in June 2016 and is head of fixed income. He previously worked at Invesco Asset Management since 2001, most recently as head of global multi-sector portfolio management and head of European fixed income strategy.
Nicholas Wall Portfolio Manager 2015 2019
自傳 Nicholas joined Merian as a fixed income portfolio manager in July 2016. Prior to joining the business, Nicholas worked as a fund manager in the global macro team at Invesco Asset Management, from 2007. He is a CFA charterholder and has an economics degree from the University of York.
Scott A. Mather Portfolio Manager 2014 2015
自傳 Mr. Mather is CIO U.S. Core Strategies and a managing director in the Newport Beach office. He is a member of the Investment Committee and a generalist portfolio manager. Mr. Mather also oversees ESG portfolio integration in the U.S. Previously he was head of global portfolio management. Before that, he led portfolio management in Europe, managed euro and pan-European portfolios and worked closely with many Allianz-related companies. He also served as a managing director of Allianz Global Investors KAG. Prior to these roles, Mr. Mather co-headed PIMCO's mortgage- and asset-backed securities.
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