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该子基金旨在主要透过投资于中国借贷人发行的债务证券(例如债券)投资组合,以提供收益及长期资本增值的机会。该子基金可持有于中国大陆以外或以内任何合资格市场所发行的债务证券,包括但不限于中国银行间债券市场。任何合资格市场所发行的债务证券的持有比重将不受限制。该子基金的债务证券可能以人民币及/或硬货币(全球买卖的主要货币)计价。任何并非以人民币计价的证券,投资经理将酌情决定将该等证券的风险兑换至人民币。由于该子基金的参考货币为美元,以该子基金参考货币计算的回报将受人民币兑美元汇价变动所影响。该子基金可投资于投资评级及非投资评级债务证券及可提供参与该等债务证券的衍生工具。
名称 | 标题 | 任期 | 至 |
---|---|---|---|
Alan Siow | - | 2020 | now |
背景介紹 | Alan is a portfolio manager in the Fixed Income team at Ninety One with responsibility for Emerging Markets Investment Grade Corporate Debt and All China Bond. Prior to joining the firm, Alan worked at BlueBay Asset Management where he was a portfolio manager specialising in emerging markets. From 2008 to 2011 Alan worked at Alchemy Special Situations as an executive responsible for European distressed debt and special situations investing. Prior to Alchemy, Alan was a vice president in fixed income at Citigroup Salomon Smith Barney. Alan started his career at Deloitte in Australia. Alan graduated with a Bachelor of Commerce, first class honours (Accounting and Finance) degree from the University of Western Australia and completed a Masters in Business Administration at INSEAD, France. He is also a qualified Chartered Accountant (Australia and New Zealand). | ||
Wilfred Wee | - | 2014 | 2024 |
背景介紹 | Wilfred is a portfolio manager in the Fixed Income team at Ninety One and he is responsible for all China Bond strategies. He also shares responsibility for analysis of Asian bond and currency markets within the Fixed Income team. Prior to joining the firm, Wilfred worked for the Government of Singapore Investment Corporation (GIC) for nine years, three of which were based in New York. At the GIC, Wilfred was a portfolio manager and lead credit analyst for Emerging Market credit, focused on Asia. He was also credit analyst and strategist responsible for European financials. Wilfred holds a Bachelor of Arts (Hons) degree in Economics from the University of Cambridge, a Master’s degree in Financial Mathematics from Stanford University, and is also a CFA® Charterholder. | ||
Peter Eerdmans | - | 2014 | 2020 |
背景介紹 | Peter is in the Emerging Markets Fixed Income team at Ninety One and is co-portfolio manager of the Emerging Market Sustainable Blend strategy. Peter drives the broader sustainability agenda in Emerging Market Debt. Prior to joining the firm Peter worked for Watson Wyatt where he was responsible for bond and currency manager research. Prior to his time at Watson Wyatt, he spent six years as a senior portfolio manager responsible for global bond management at Robeco, where he helped develop the credit process and lead on numerous projects improving the process and tools of the department. He graduated in 1995 with a Master’s degree in Econometrics from Erasmus University Rotterdam. |
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