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晋达环球策略基金 - 环球策略管理 A 累积股份 (0P00000L6N)

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171.310 +0.460    +0.27%
23/12 - 闭盘. USD 货币
类型:  基金
市场:  卢森堡
发行商:  Ninety One Luxembourg S.A.
ISIN:  LU0345768153 
资产类别:  股票
  • 晨星评级:
  • 总资产: 1.01B
Ninety One Global Strategy Fund - Global Strategic 171.310 +0.460 +0.27%

0P00000L6N概述

 
本页面提供晋达环球策略基金 - 环球策略管理 A 累积股份的详细介绍,帮助您了解0P00000L6N的高管、总资产、投资策略和联系方式等信息。
种类

美元平衡型股債混合

总资产

1.01B

费用

1.94%

开始日期

2005年6月22日

投资策略

该子基金旨在透过积极管理的多元投资组合(包括全球的定息证券、可换股证券、股票证券、货币市场工具、存款及衍生工具的不同投资组合),提供长线收益及资本增长。在一般情况下,股票投资最多占该子基金75%。该子基金可投资于中国大陆以内任何合资格市场所发行的债务证券,包括中国银行间债券市场,并透过但不限于合格境外投资者「Qfi」、中国银行间债券市场直接投资及债券通进行交易。该子基金可投资于由中国大陆公司发行的股份,包括但不限于b股、H股及中国a股(可能包括但不限于透过沪港通/深港通及qfi交易的中国a股)。该子基金对中国大陆的投资将被限制于最多可占其净资产的20%。

联络信息

地址 2-4 Avenue Marie-Thérèse, Luxembourg, L-2132
Luxembourg, L-2132
Luxembourg
电话 +352 28 12 77 20

高管

名称 标题 任期
Alex Holroyd-Jones - 2024 now
背景介紹 Alex is a portfolio manager in the Multi-Asset team at Ninety One. Alex’s research responsibilities include macro, fixed income and currency. Prior to joining the firm in 2013 he worked on the Crude Oil and Products finance desk at ConocoPhillips, with a focus on derivatives. Alex graduated from Loughborough University with a first class Bachelor of Science (Hons) degree in Business Economics and Finance. Alex is also a Chartered Financial Analyst (CFA®) Charterholder.
Michael Spinks - 2019 now
背景介紹 Michael is Co-Head of Multi-Asset Growth at Ninety One, He is also co-portfolio manager for the Diversified Growth and the Global Strategic Managed strategies. Michael’s research responsibilities include equity and fixed income. He joined the firm in London after spending eight years at Schroder Investment Management, where he was a member of the Global Asset Allocation Committee and co-portfolio manager of the Diversified Growth Fund and the Diversified Completion Fund. Prior to joining Schroder Investment Management, Michael worked at Watson Wyatt and was previously a portfolio manager for private clients at Investec Private Bank. Michael graduated from Durham University with a Bachelor of Arts degree (Hons) in Mathematics and Economics and is a CFA® Charterholder.
Iain Cunningham Portfolio Manager 2016 now
背景介紹 Iain is a portfolio manager in the Multi-Asset team at Investec Asset Management. Prior to this, Iain started his career at Schroders where he was responsible for the management of a number of multi-asset funds and mandates focused on dynamic asset allocation and income. He was also co-fund manager of the Schroder ISF Global Multi-Asset Income Fund since August 2012 and lead fund manager of the Schroder ISF Global Multi-Asset Allocation Fund since November 2009. He has a BSc in Economics from Loughborough University, and an MSc in Economics and Finance (with distinction). Iain also obtained his CFA in 2010.
Philip Saunders Director of Ninety One’s Investment Institute 2004 2022
背景介紹 Philip is director of the Ninety One Investment Institute . He is responsible for leading the development of the Investment Institute’s research role as a driver of Ninety One’s own broad investment thinking and as the key source of guidance, advice and partnership for clients. He was previously, Co-Head of Multi-Asset Growth and co-portfolio manager for the Global Strategic Managed and Risk Managed strategies, with macro focussed research responsibilities. He began his investment career in 1981 as an analyst at Guinness Mahon & Co Limited, assuming management responsibility for the company’s managed currency funds in 1984. In 1987, he became a founding director of Guinness Flight Global Asset Management, which was later acquired by Ninety One in 1998, and led its successful Global Fixed Income team. In 2000 he joined the Multi-Asset team, becoming Head in 2004. Philip graduated from Cambridge University in 1980 with a Masters of Art degree in History.
Max King Specialist 2013 2016
背景介紹 Max King was born in Buenos Aires and graduated from Cambridge University with a degree in economics. He started his career at Peat Marwick where he qualified as a chartered accountant. Max spent two years in corporate advisory before moving into investment management. He joined LF Rothschild where he was vice president in the risk arbitrage department before joining Finsbury Asset Management in 1987 where he was a director and senior investment manager. Max joined J O Hambro Capital Management in 1997 where he managed a range of portfolios, before joining Investec Asset Management where he is currently a portfolio manager in the global asset allocation team. Outside of fund managment he enjoys shooting, tennis, rugby, walking, the cinema, theatre, music, travel and food.
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