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安联全球新兴市场高息股票基金 AM H2 AUD (0P00018HP5)

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13.964 +0.040    +0.32%
17/05 - 闭盘. AUD 货币 ( 免责声明 )
类型:  基金
市场:  卢森堡
ISIN:  LU1428086414 
资产类别:  股票
  • 晨星评级:
  • 总资产: 192.15M
Allianz Global Investors Fund Allianz GEM Equity 13.964 +0.040 +0.32%

0P00018HP5概述

 
本页面提供安联全球新兴市场高息股票基金 AM H2 AUD的详细介绍,帮助您了解0P00018HP5的高管、总资产、投资策略和联系方式等信息。
种类

其他行業股票

总资产

192.15M

费用

2.25%

开始日期

2016年8月2日

投资策略

投资于环球新兴股票市场,并专注于可组成一个股息收益潜力高于市场平均水平的投资组合的股票(以整个组合计算时),以达致长期资本增值。

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
Erik Mulder - 2023 now
背景介紹 Erik Mulder Erik Mulder is a portfolio manager in the Systematic Equity team since 2008. He manages Best Styles Global AC Equity, Best Styles Pacific Equity as well as Stable Growth Europe Equity strategy. Previously, Erik worked for IDS, a 100% subsidiary of Allianz SE, specialising in the area of performance and risk analytics of equity portfolios. Erik started his career at Dresdner Asset Management in Frankfurt, Germany in 1999. He obtained a master’s degree in Business Administration from Erasmus University Rotterdam, the Netherlands in 1999. He has been a Certified Financial Risk Manager (FRM) since 2003 and a CFA charterholder since 2004.
Florian Mayer - 2023 now
Michael Heldmann Portfolio Manager 2022 now
背景介紹 Dr. Michael Heldmann has become CIO Systematic Equity starting 2. August 2021. Before, Michael was lead portfolio manager of Best Styles US products and CIO of Systematic Equity US since 2018. Michael joined Allianz Global Investors and the Systematic Equity team in 2007. Previously, he managed Best Styles Emerging Markets and Best Styles Europe Equity products. Before joining the Systematic Equity team, he worked for the international laboratory CERN, Geneva, Switzerland as a researcher in the field of particle physics. He obtained a master’s degree in physics from the University of Mainz, Germany and a Ph.D. from the University of Freiburg, Germany. He is a CFA charterholder.
Yusong Huang Portfolio Manager Systematic Equity 2022 now
背景介紹 Dr. Huang is a portfolio manager on the Systematic Equity team with Allianz Global Investors, which he joined in February 2019. He holds a Ph.D. in Economics from the Goethe University Frankfurt. Prior to that, he received a B.Sc. in Economics from Huazhong University of Science and Technology.
Kunal Ghosh Senior Portfolio Manager 2015 2022
背景介紹 Mr. Ghosh is a portfolio manager and a managing director with Allianz Global Investors, which he joined in 2006. He is head of the Systematic team. Mr. Ghosh has 17 years of investment-industry experience. He was previously a research associate and portfolio manager for Barclays Global Investors, where he built and implemented models for portfolio management. Before that, Mr. Ghosh was a quantitative analyst for the Cayuga Hedge Fund. He has a B.Tech. from the Indian Institute of Technology, an M.S. in material engineering from the University of British Columbia and an M.B.A. from Cornell University.
Lu Yu Managing Director, Portfolio Manager 2015 2022
背景介紹 Ms. Yu is a portfolio manager and a managing director with Allianz Global Investors, which she joined in 2003. She has portfolio-management and research responsibilities for the Systematic team. Ms. Yu has 18 years of investment-industry experience. She was previously a risk analyst for Provident Advisors LLC. Ms. Yu has a B.S. from Nanjing University, China, and an M.S. from the University of Southern California and the National University of Singapore. She is a CFA charterholder and was formerly president of the CFA Society San Diego.
Carlos de Leon Director 2013 2015
背景介紹 Carlos de Leon joined RCM in August 2010 as a member of the Global Emerging Markets team and is based in London. Carlos is a co-manager of the RCM Brazil Fund and also provides research and idea generation for Latin American companies to the Emerging Market and BRIC portfolios as well as Global Equity portfolios. He has extensive investment experience and spent a large part of his career as senior sell-side research analyst, as either generalist or sector specialist, working in both emerging and developed markets. Prior to joining the firm, he worked mainly for Deutsche Bank in London, New York and Latin America. He has an MBA from Schiller University in Heidelberg, previously studied at the University of Mannheim, and has taken short executive education courses at INSEAD and Columbia University.
Grant-Yun Cheng - 2013 2015
背景介紹 Grant Yun Cheng brings altogether 18 years of investment experience. He (re-) joined Allianz Global Investors in July 2013 as senior portfolio manager for Emerging Markets Equities. He moved to Union Investment at the end of 2007 as Head of Emerging Markets / Japan, where he oversaw and managed Union’s Emerging Market and Asian equity funds. Born in Shanghai, Grant started his career in China as a correspondent banker in a local bank in Shanghai and served as the assistant to the bank‘s executive vice president. He moved to Germany in 1995 and worked as senior project manager in the Global Finance Department of Dresdner Kleinwort, where he was responsible for structuring project finance deals in Emerging Asia. In 2001, he moved to Deutsche Investment Trust (DIT) as senior portfolio manager in the Emerging Markets team, where he was responsible for the Asian part of the Emerging Market / BRIC products of the firm. In this role, he was also the main coordinator with the firm‘s Asian research platform in Hong Kong. Grant holds in BA Degree in English and MA in Economics from Fundan University of China. He is a CFA charter holder.
Thomas Orthen - 2007 2013
背景介紹 Thomas Orthen is currently lead portfolio manager of Fondak, a German equity strategy. Thomas joined Allianz Global Investors in 2005 as part of the Graduate Trainee Program which included a secondment with the Global Emerging Markets team. In 2007 he formally joined the Emerging European Team as Portfolio Manager. He holds a BA in International Business from the University of Plymouth and a Diplom-Betriebswirt (FH) degree from the University of Applied Sciences in Dortmund, and is a CFA Charter holder.
Michael Konstantinov Head 2007 2013
背景介紹 Michael started his career in Corporate Finance at Dresdner Bank in 1991. After an investment banking trainee program he joined RCM in 1994 as portfolio manager for European equities, with emphasis on Spain and Eastern Europe. Since 1998 he has been head of the Global Emerging Markets Equities Team. Michael holds a Master's degree in Economics from the University of Frankfurt, Germany, and the Eastern Illinois University, USA. Michael has managed the Allianz RCM BRIC Stars Fund since February 2006.
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