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AXA IM Fixed Income Investment Strategies - US Corporate Intermediate Bonds A Capitalisation EUR Hdg (0P0000N0RU)

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139.680 -0.140    -0.10%
31/10 - 闭盘. EUR 货币
类型:  基金
市场:  卢森堡
发行商:  AXA Funds Management S.A.
ISIN:  LU0211300792 
资产类别:  债券
  • 晨星评级:
  • 总资产: 1.9B
AXA IM Fixed Income Investment Strategies US Cor 139.680 -0.140 -0.10%

0P0000N0RU概述

 
本页面提供AXA IM Fixed Income Investment Strategies - US Corporate Intermediate Bonds A Capitalisation EUR Hdg的详细介绍,帮助您了解0P0000N0RU的高管、总资产、投资策略和联系方式等信息。
种类

其他債券

总资产

1.9B

费用

0.42%

开始日期

2009年12月29日

联络信息

地址 Paseo de la Castellana 93, 6a planta
Madrid,none 28046
Spain
电话 +34 91 406 72 18
传真 +34 91 406 72 01
网址 www.axa-im.es

高管

名称 标题 任期
Guillaume Arnould Fixed Income Analyst 2020 now
背景介紹 Guillaume is a portfolio engineer with AXA IM. Guillaume joined AXA IM in Paris in 2003 as an associate business analyst. In 2005, he moved to the Investment Solutions group; first as an associate finance project manager for one year and then to London as a client relationship manager. Guillaume has a Master's Degree of Mathematics and Computer Sciences from the University of Paris-Dauphine, and a joint Master's Degree of Management & Sciences from the University of Pierre & Marie Curie and University of Paris-Dauphine. *Usage of this biography is subject to legal provisions regarding the protection of personal data and must conform to the intended usage.
Frank A. Olszewski Portfolio Manager 2014 now
背景介紹 Frank is a portfolio manager/analyst with AXA IM. Prior to joining AXA IM in 2008, he was a portfolio manager in the institutional fixed income division of BNY Asset Management (BNYAM), where he managed core fixed income portfolios and was the head of credit strategy. Prior to joining BNYAM, he was an associate portfolio manager at GE Asset Management (GEAM), where he managed credit and ABS portfolios. Prior to joining GEAM, he was an assistant portfolio manager at Fiduciary Trust Co. International. Frank holds a B.A. from Franklin & Marshall College and has the CFA professional designation.Frank has been the Head of US Investment Grade Credit since 2014 and a Portfolio Manager within the US investment grade team since joining AXA IM in 2008. In addition to managing core strategies, Frank is also responsible for covering the telecommunications and railroad sectors research. Prior to AXA IM, he was a Portfolio Manager in the institutional fixed income division of BNY Asset Management (BNYAM) for six years, where he managed core fixed income portfolios and was the Head of Credit Strategy. Prior to joining BNYAM, he was an Associate Portfolio Manager at GE Asset Management for three years, where he managed credit and ABS portfolios. Frank started his career in 1994, with Fiduciary Trust Co. International, as an Assistant Portfolio Manager for five years. Frank holds a Bachelor’s degree in Business Management from Franklin & Marshall College; and is also a CFA charterholder. *Usage of this biography is subject to legal provisions regarding the protection of personal data and must conform to the intended usage.
Steven Nelson - 2014 2020
Robert J. Houle Portfolio Manager/Analyst 2008 2014
背景介紹 Rob is a Portfolio Manager/ Analyst within the US High Yield team, a role he has held since 2008. In addition to managing core high yield portfolios, he is also responsible for research coverage of the basic industry sector. Rob joined AXA IM in 2005 as a US High Yield Credit Analyst. Before joining AXA IM, he was a Trader for three years on the institutional equity trading desk at Lehman Brothers where he traded energy related stocks. Robert holds a Bachelor’s degree in Economics and Psychology from Williams College; and is also a CFA charterholder.
David Kinsley Principal 2008 2014
背景介紹 David W. Kinsley, CFA, is a Principal, Head of Investing and a Senior Portfolio Manager. He is responsible for portfolio management, research & trading processes with specific responsibility for management of dedicated responsible-focused short duration funds and benchmarked short duration mandates. He previously was Co-Head of US Investing at AXA Investment Managers where he was instrumental in designing customized regional solutions for a global insurance company clientele, and was lead PM for a Custom Credit negative basis strategy that grew to >$15bn. Mr. Kinsley’s career includes co-founder and CFO of BookCentral International, an online textbook arbitrage enterprise, and analyst in the Consumer Retail group at Lehman Brothers. He holds a BA from Williams College.
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