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Allianz RiskMaster Growth Multi Asset Fund Class T Shares Acc (0P0000Y86C)

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1.97 -0.00    -0.10%
26/11 - 延迟数据. GBP 货币
类型:  基金
市场:  英国
发行商:  Allianz Global Investors GmbH
ISIN:  GB00B93PSN30 
资产类别:  股票
  • 晨星评级:
  • 总资产: 2.03M
Allianz RiskMaster Growth Multi Asset Fund Class T 1.97 -0.00 -0.10%

0P0000Y86C概述

 
本页面提供Allianz RiskMaster Growth Multi Asset Fund Class T Shares Acc的详细介绍,帮助您了解0P0000Y86C的高管、总资产、投资策略和联系方式等信息。
种类

英鎊積極型股債混合

总资产

2.03M

费用

0.90%

开始日期

2013年3月14日

联络信息

地址 20, rue Le Peletier
Paris, 75009
France
电话 +33(0) 1 57 86 8540

高管

名称 标题 任期
Matt Toms - 2022 now
背景介紹 Matt Toms, CFA, CAIA is a Vice President and Senior Portfolio Manager, Allianz Global Investors Multi Asset Europe. He joined Allianz Global Investors from Handelsbanken Asset Management in 2021 to co-manage the flagship RiskMaster Multi Asset Fund range, which targets volatility and is designed to deliver a specific level of risk to the client. At Handelsbanken Asset Management, Matt co-managed a range of sustainable multi-asset funds. His role focused on strategic asset allocation and sustainability. Matt gained a First Class Bachelor’s in Economics from The London School of Economics and a Masters in Business (Behavioural Science) with Distinction from Warwick Business School. Matt is a CFA and CAIA charterholder. In addition, he holds the Certificate in ESG Investing and the Certificate in Investment Performance Measurement. Matt has been a member of the Chartered Institute for Securities & Investment’s Integrity & Ethics Committee since 2020.
Gavin Counsell - 2018 now
背景介紹 Gavin Counsell, FIA, is a Director and Senior Portfolio Manager, Allianz Global Investors Multi Asset Europe. He joined Allianz Global Investors from Aviva Investors in 2018 to support the growth of our UK domiciled multi asset portfolios. This includes the flagship RiskMaster Multi Asset Fund range, which targets volatility and is designed to deliver a specific level of risk to the client. At Aviva Investors, Gavin was senior fund manager across a range of multi-asset portfolios, his role focused on portfolio construction and active asset allocation. Gavin started his financial career at Aon, before moving to Willis Towers Watson as an Investment Consultant. Gavin graduated from The University of Warwick with a First Class Masters in Mathematics (MMaths), and is a Fellow of the Institute and Faculty of Actuaries, FIA.
Cordula Bauss - 2021 2022
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.
Rob Argent - 2017 2021
Cordula Bauss - 2017 2018
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.
David Hollis - 2012 2017
背景介紹 David Hollis is a Portfolio Manager in the Investment Solutions team and is responsible for the investment strategy, tactical asset allocation and performance of several of the Firm’s global multi-asset funds. Together with the rest of the team, David provides advice on strategic asset allocation, advisory and liability management of the Group’s life insurance assets in Asia. David joined Eastspring Investments as Investment Director in January 2018. Prior to joining Eastspring Investments, David worked for 17 years at Allianz Global Investors (Formerly Dresdner RCM) in London. For the last 10 years, he was responsible for the management, performance and advisory of the global multi asset funds in the UK. Prior to this, he worked in various roles within the global fixed income team at Dresdner RCM in London. David has over 19 years experience in a plethora of asset classes, having successfully combined a profound understanding of asset markets with active portfolio management for many years. David holds a Bachelor of Science (First Class Hons) in Economics from the London School of Economics (1998), London, UK.
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