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VALIC Company I High Yield Bond Fund(VCHYX)

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7.24 0.00    0%
13/11 - 延遲資料. USD 貨幣
種類:  基金
市場:  美國
資產類別:  債券
  • 晨星評級:
  • 總資產: 357.07M
VALIC Company II High Yield Bond 7.24 0.00 0%

VCHYX綜觀

 
你可在本頁找到深入的VALIC Company I High Yield Bond Fund公司檔案,包括VCHYX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

High Yield Bond

總資產

357.07M

費用

0.96%

基金成立

36039

聯絡資訊

地址 2929 Allen Parkway
Houston,TX 77019
United States
電話 -
網絡 www.valic.com

主要管理層

名稱 主旨 成立於 直至
Michael V. Barry Portfolio Manager 2021 now
自傳 Michael V. Barry, Senior Managing Director and Fixed Income Portfolio Manager of Wellington Management, has been involved in portfolio management for the Fund since 2021 and has been involved in securities analysis for the Fund since 2012. Mr. Barry joined Wellington Management as an investment professional in 2010.
Christopher A. Jones Vice President 2009 2023
自傳 Chris is a fixed income portfolio manager and chair of the High Yield Strategy Group. He focuses on the firm’s Core High Yield, European High Yield, Global High Yield, and total return oriented strategies. He began his career at Wellington Management in 1994 as a research analyst in Fixed Income Research, specializing in the quantitative and qualitative review of high-yield bonds. Prior to joining the firm, Chris did research for Foothill Group, an investment management company specializing in distressed debt, and he worked at La Jolla-based Multiple Peptide Systems where he marketed custom molecules to research institutions and other end users (1989 – 1992). Chris earned his MBA in finance from the University of California, Los Angeles (1994) and his BA, cum laude, from the University of California, San Diego (1988). He also holds the Chartered Financial Analyst designation.
David B. Marshak Assistant Portfolio Manager 2015 2018
自傳 David B. Marshak, Managing Director and Fixed Income Portfolio Manager of Wellington Management, has been a portfolio manager since 2017 and has been involved in securities analysis since 2012. Mr. Marshak joined Wellington Management as an investment professional in 2004.
John Yovanovic Senior Research Analyst 2007 2009
自傳 Mr. Yovanovic joined the firm in 2000 and is Co-Head of Leveraged Finance at PineBridge Investments. He is responsible for co-managing the Leveraged Finance Group and overseeing high yield portfolio management. Mr. Yovanovic became Portfolio Manager of High Yield for the firm in 2005. Prior to that, he held positions as a senior research analyst and as head of AIG's high yield trading desk; while in investment research, he served as the energy/utilities group head. Previously, Mr. Yovanovic was a senior research analyst and trader at Mentor Investment Advisors, a division of Wachovia Corporation. Mr. Yovanovic started his career in equity research at VanKampen Funds, where he subsequently moved into high yield research and trading. He received a Bachelor of Business Administration from the University of Houston and is a CFA charterholder.
Bryan Petermann Portfolio Manager 2007 2009
自傳 Bryan, Portfolio Manager, joined Muzinich in 2010 from Pinebridge Investments (formerly AIG Investments) where he served as Managing Director, Head of high yield for the last five years of his tenure. Bryan started his career in the banking sector. He worked in the media and cable groups at the Union Bank of California and Banque Paribas. Previously, he participated in the start of Société Générale’s cable and media group. Bryan received a B.A. from the University of California, Los Angeles where he was a Phi Beta Kappa scholar, and an M.B.A. from the University of California, Berkeley
Tim Lindvall Portfolio Manager 2007 2009
自傳 Tim Lindvall, CFA Managing Director, Portfolio Manager PineBridge Investments, Houston Mr. Lindvall joined the firm in 2002 and became a Portfolio Manager in 2007. Prior to his current position, Mr. Lindvall was a research analyst responsible for the exploration and production, oil field services, refining, pipeline, and electric sectors. Previously, Mr. Lindvall was Manager of Structured Transactions at Aquila Energy Capital, a mezzanine fund. He was responsible for originating and structuring investments in energy companies. His prior experience includes research analysis at a hedge fund, corporate finance at EOG Resources, and private equity investing at Enron Corp. Mr. Lindvall received a BS in Finance and a BA in Economics from Southern Methodist University, and an MBA from The Wharton School at the University of Pennsylvania. He is also a CFA Charterholder.
Greg A. Braun - 2006 2007
自傳 Braun is a portfolio manager of the company. Braun holds the Chartered Financial Analyst desgination.
Gordon Massie Senior Vice President, Portfolio Manager 1998 2006
自傳 Massie is senior vice president and portfolio manager with American General Investment Management, his employer since April 1998. Prior to that, he was a director with American General Corporation from Aug 1985 to April 1998.
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