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安联动力多元资产SRI 75基金 A EUR (0P00017PQ3)

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200.790 +0.860    +0.43%
07/11 - 闭盘. EUR 货币
类型:  基金
市场:  卢森堡
发行商:  Allianz Global Investors GmbH
ISIN:  LU1089088311 
资产类别:  股票
  • 晨星评级:
  • 总资产: 2.23B
Allianz Global Investors Fund - Allianz Dynamic Mu 200.790 +0.860 +0.43%

0P00017PQ3概述

 
本页面提供安联动力多元资产SRI 75基金 A EUR的详细介绍,帮助您了解0P00017PQ3的高管、总资产、投资策略和联系方式等信息。
种类

歐元積極型股債混合 - Global

总资产

2.23B

费用

1.65%

开始日期

2016年3月29日

投资策略

根据SRI策略投资于广泛资产类别,并专注于环球股票市场及债券市场,以达致长期资本增值,从而缔造每年波幅范围介乎10%至16%的中长期表现。管理公司对资本市场波幅的评估是投资程序的重要因素,目的是缔造每年平均波幅范围一般不会低于或超过10%至16%的中长期表现,与由25%环球债务证券(对冲欧元)及75%环球股票组成的投资组合相若。为免产生疑问,本附属基金可投资于广泛的资产类别,但不一定维持25%环球债务证券及75%环球股票的投资组合。

联络信息

地址 L-2633 Senningerberg
Frankfurt am Main, 60323
Germany
电话 +49 (0) 69 2443-1140
传真 Milano

高管

名称 标题 任期
Maren Ebert - 2024 now
Andreas de Maria Campos - 2015 now
背景介紹 Andreas de Maria Campos is a portfolio manager in the Active Allocation Retail team of Allianz Global Investors Multi Asset Europe. He manages various multi-asset portfolios and develops cross-asset investment strategies. Andreas is co-head of the Tactical Equity Allocation group in the Multi Asset division of fundamental analysis. Prior to joining Allianz Global Investors in 2013, he gained practical experience in the asset management and M&A industry. He studied Economics at the Barcelona Graduate School of Economics (MSc), the University of St. Gallen (BA) and the Hong Kong University of Science and Technology. Andreas is a CAIA charter holder since 2016 and is a CFA charterholder.
Marcus Stahlhacke Head 2015 now
背景介紹 Marcus Stahlhacke is Head of Active Allocation Retail in Allianz Global Investors Multi Asset Europe. He joined the company in 1996 as portfolio manager for balanced portfolios. He was Head of Fixed Income / Benchmark Analysis from 1998 for several years before being appointed as Senior Product Advisor of the Product Advisory division in November 2001. From 2005 to 2010 Marcus Stahlhacke was CIO Systematic Multi Asset-Multi Manager and headed the Fund-of-Funds team. Prior to joining the Multi Asset - Active Allocation team in February 2012, Marcus was CIO - Real Estate Private Clients at Allianz Global Investors.Marcus studied at the universities of Frankfurt und Southampton, graduating in Economics (“Diplom-Volkswirt”) and Business Administration (“Diplom-Kaufmann”). Following his graduation, Marcus worked as a research assistant at the University of Frankfurt before moving to a management consultancy firm. Marcus qualified as a CFA charterholder in 2009 and as a Financial Risk Manager (FRM) in 2002. He further qualified as a Chartered Alternative Investment Analyst (CAIA) in 2012.
Friedrich Kruse - 2021 2024
背景介紹 Dr Friedrich Kruse is a portfolio manager in Allianz Global Investors‘ Multi Asset team located in Frankfurt. He is also a member of the Multi Asset Research & Development group. Previously he worked in the locations Tokyo and New York for the firm. Prior to joining Allianz Global Investors in February 2011, he worked as research assistant at the university chair of finance at WHU – Otto Beisheim School of Management where he obtained his PhD. He has been a PhD visiting scholar at New York University Stern School of Business. His doctoral research is focused on nonlinear predictions, portfolio optimization and discrete time finance. Friedrich has made work experience with Bankhaus Metzler and Dresdner Kleinwort. He holds a master’s degree in business economics from the University of Passau and was a BA visiting student at the University of Lund in Sweden. Friedrich is also a CFA charterholder.
Cordula Bauss - 2015 2021
背景介紹 Cordula Bauss is a senior portfolio manager within the Active Allocation Retail team of Allianz Global Investors Multi Asset Europe, based in Frankfurt. She manages multi asset funds and heads up the FX team in Multi Asset. She also manages the currency overlay strategy for selected portfolios. Cordula joined the firm in 1997 as an analyst for currencies and became a portfolio manager for currency portfolios, currency overlay mandates and emerging markets debt local currencies. In 2008 she began managing balanced portfolios. She started her career as an editor with Finanzen-Verlag in Munich in 1994. Cordula graduated with a university degree in Economics (“Diplom-Volkswirtin”) from the University of Göttingen.
Cordula Bauss - 2015 2015
背景介紹 Cordula Bauss is a senior portfolio manager within the Active Allocation Retail team of Allianz Global Investors Multi Asset Europe, based in Frankfurt. She manages multi asset funds and heads up the FX team in Multi Asset. She also manages the currency overlay strategy for selected portfolios. Cordula joined the firm in 1997 as an analyst for currencies and became a portfolio manager for currency portfolios, currency overlay mandates and emerging markets debt local currencies. In 2008 she began managing balanced portfolios. She started her career as an editor with Finanzen-Verlag in Munich in 1994. Cordula graduated with a university degree in Economics (“Diplom-Volkswirtin”) from the University of Göttingen.
Marcus Stahlhacke Head 2015 2015
背景介紹 Marcus Stahlhacke is Head of Active Allocation Retail in Allianz Global Investors Multi Asset Europe. He joined the company in 1996 as portfolio manager for balanced portfolios. He was Head of Fixed Income / Benchmark Analysis from 1998 for several years before being appointed as Senior Product Advisor of the Product Advisory division in November 2001. From 2005 to 2010 Marcus Stahlhacke was CIO Systematic Multi Asset-Multi Manager and headed the Fund-of-Funds team. Prior to joining the Multi Asset - Active Allocation team in February 2012, Marcus was CIO - Real Estate Private Clients at Allianz Global Investors.Marcus studied at the universities of Frankfurt und Southampton, graduating in Economics (“Diplom-Volkswirt”) and Business Administration (“Diplom-Kaufmann”). Following his graduation, Marcus worked as a research assistant at the University of Frankfurt before moving to a management consultancy firm. Marcus qualified as a CFA charterholder in 2009 and as a Financial Risk Manager (FRM) in 2002. He further qualified as a Chartered Alternative Investment Analyst (CAIA) in 2012.
Stefan Nixel Managing Director 2014 2015
背景介紹 Mr. Nixel is a portfolio manager and a managing director with Allianz Global Investors, which he joined in 2004. He is on the Multi Asset-Multi Strategy team and manages portfolios, institutional mandates and retirement-provision funds. Mr. Nixel is responsible for research and development of investment strategies and new product developments. He previously worked on the quantitative portfolio management team at Deka. He has a B.S. in international financial management from the University of Nuertingen and an M.S. in quantitative finance from the Frankfurt School of Finance & Management. Mr. Nixel is a CFA charterholder and a CAIA charterholder.
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