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天利(卢森堡) - 新兴市场公司债券基金 AU (0P0000V9D4)

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21.674 -0.080    -0.37%
17/06 - 延迟数据. EUR 货币 ( 免责声明 )
类型:  基金
市场:  卢森堡
发行商:  Threadneedle Management Luxembourg S.A.
ISIN:  LU0757426498 
资产类别:  债券
  • 晨星评级:
  • 总资产: 37.58M
Threadneedle (Lux) - Emerging Market Corporate Bon 21.674 -0.080 -0.37%

0P0000V9D4概述

 
本页面提供天利(卢森堡) - 新兴市场公司债券基金 AU的详细介绍,帮助您了解0P0000V9D4的高管、总资产、投资策略和联系方式等信息。
种类

Global Emerging Markets Corporate Bond

总资产

37.58M

费用

1.55%

开始日期

2012年1月12日

投资策略

新兴市场公司债券基金接受积极管理及透过主要投资于以美元计值或美元对冲投资级别及低于投资级别的债务及由总办事处设于新兴市场国家,或于新兴市场国家经营重大部分业务的机构及公司所发行或保证的其他债务,寻求达致来自收入及资本增值的总回报。组合基金其次亦可投资其他债务证券,包括由新兴 市场国家的国家借方所发行的债券及由经合组织的 国家及公司借方所发行的债券、存款、现金及近似 现金。组合基金最多 10%的资产净值可运用债券通投资于 在中国银行间债券市场买卖的债券。

联络信息

地址 L-2661 Luxembourg
Luxembourg, 2661
Luxembourg
电话 +44 (0)20 7464 5437

高管

名称 标题 任期
Christopher Cooke Portfolio Manager, Emerging Markets Debt 2022 now
背景介紹 Chris Cooke is a portfolio manager for the Emerging Markets Debt team at Columbia Threadneedle Investments. He is responsible for assisting with risk management and portfolio construction of the product. Additionally, has was responsible for establishing a number of control systems used in EM fixed income. He joined one of the Columbia Threadneedle Investments legacy firms in 2008, as a fixed-income business analyst, and moved to the Emerging Market Debt team in 2014. Chris received a B.Sc. in Computer Science and Artificial Intelligence from Aberystwyth University.
Adrian Hilton Portfolio Manager Rates and Currencies 2020 2022
背景介紹 "Adrian Hilton is Head of Global Rates and Emerging Market Debt at Columbia Threadneedle, having joined the company in 2016 as a portfolio manager in the Interest Rates & Currencies team, assuming leadership of that team a year later. In 2020, he added the Emerging Market Debt team to his responsibilities, as well as co-managing our range of EMD strategies. Adrian began his career at the Bank of England in 2000, holding various positions in the Sterling Markets and Foreign Exchange divisions, ultimately as a portfolio manager on the Bank’s Reserves Management desk.
Tim Jagger Head 2019 2020
背景介紹 Tim Jagger is the Head of Emerging Market Debt having joined Columbia Threadneedle Investments in 2017. Tim was appointed to his current role in 2018 having joined the company’s Singapore office in 2017. Based in London, Tim is responsible for the performance of Columbia Threadneedle’s emerging market debt portfolios and team of investment professionals within the company’s extensive global network. Tim has over twenty years’ experience of fixed income credit portfolio management, credit strategy research and credit risk management in both Europe and Asia. Prior to joining Columbia Threadneedle, Tim was a Senior Portfolio Manager, Asian Credit, at Aviva Investors and the lead manager for its Asian High Yield funds including a top decile performing public fund. Tim has a Master of Arts in Economics from The University of St. Andrews and is an Associate of the Chartered Institute of Bankers.
Zara Kazaryan Portfolio Manager 2012 2019
背景介紹 Zara Kazaryan joined the company in 2012 as a portfolio manager in the Emerging Market Fixed Income team. She manages the Threadneedle (Lux) Emerging Market Corporate Bond Fund and also generates emerging market investment ideas for the wider investment team. Prior to joining the company, Zara worked as a portfolio manager at Alcantara Asset Management, a specialist EM fund. Prior to that Zara worked at Merrill Lynch in the EM Debt origination team and for Biochem Invest in Russia focusing on private equity investments. Zara gained an MBA from the University of Cambridge in 2005 and holds an MA in Economics from Plekhanov Academy of Economics in Russia.
Barrie Whitman Head 2010 2012
背景介紹 Barrie Whitman joined the company in 1999 and is currently Head of High Yield, EMEA, with responsibility for our high yield fixed income team in London. He manages the Threadneedle High Yield Bond, European High Yield Bond and Strategic Bond Funds as well as a number of institutional mandates. He is also co-manager of the Threadneedle Credit Opportunities Fund. Barrie began his investment career in 1987 at United Bank of Kuwait as a credit analyst specialising in high yield bond investment. In 1990 he became a high yield fund manager and, in 1996, CIO for High Yield Investments. He then moved to Standard Bank London in 1997 as Head of European High Yield and Distressed Debt. Barrie graduated in 1982 with a BSc in Economics and Accounting from Hull University and qualified as a Chartered Accountant in 1986. He is also a member of the Institute of Chartered Accounts in England and Wales.
David Oliphant Member 2010 2012
背景介紹 David began his career in 1989 with Eagle Star Investment Managers1 as a Sterling Bond analyst. He progressed to managing multi-currency portfolios for Eagle Star and then from 1994, for Threadneedle Asset Management Limited. In 2003, David switched from Government Bonds to Head the Investment Grade Credit team. He is also the portfolio manager of the Threadneedle UK Corporate Bond Fund, Threadneedle US Dollar Bond Fund and co-manages the Threadneedle Strategic Bond Fund. He graduated in 1988 with an honours degree in economics from the University of St Andrews. He holds the Chartered Financial Analyst designation and is also a member of the CFA Society of the UK.
Richard House CIO (Chief Investment Officer) 2010 2012
背景介紹 Richard House Head of Emerging Markets 26 years’ industry experience 2 year with Global Fixed Income team Previously Head of Emerging Market Debt at Standard Life Prior to that, Head of Emerging Market Debt at Threadneedle Asset Management; EMD Portfolio Manager at HSBC and EMD trader at Wadhwani Asset Management Began his career as an Emerging markets economist with Lombard Odier Asset Management MSc in Finance and Economics, University of York, UK BSc in Economics, University of Sunderland, UK
Alia Yousuf Portfolio Manager 2009 2010
背景介紹 Alia was previously Head of Emerging Markets for Standard Bank’s Principal Investment Management (PIM). She was responsible for fund strategies and investment selection targeting absolute returns within emerging markets fixed income and was actively involved in the development of PIM’s Africa exposure. Before PIM, Alia managed the emerging market bond portfolios at First State and worked as an emerging market debt portfolio manager at Fischer Francis Trees and Watts. Her previous experience also includes economic analysis for Emerging Markets Economics (EME) and the World Bank. At EME, she was heavily involved in structural reform programmes across Africa relating to trade policies and infrastructure development.
Kevin Colglazier Head, Portfolio Manager 2009 2010
背景介紹 Before joining Standard Asset Management, Mr. Colglazier was the Head of Global Fixed Interest in London and the Head of Asian Fixed Income in Singapore for First State Investments.  Prior to this, Mr. Colglazier was the Investment Director of Fixed Income for Global Asset Management (GAM) in Singapore and London. Before GAM, he was the CIO at Chase Manhattan Private Bank in Geneva and Hong Kong. Earlier to this, Mr. Colglazier was a fund manager with Guinness Flight and started his career with Putnam Investments. Mr. Colglazier has a BA in History and Government from Georgetown University and a MPhil. in International Relations from Cambridge University.
John Cleary CIO, Senior Portfolio Manager 2002 2009
背景介紹 Chief Investment Officer/Senior Emerging Markets Portfolio Manager. Mr Cleary joined Standard Asset Management in February 2004 and is directly responsible for the Emerging Market (EM) and the EM/High Yield hybrid portfolios. Prior to joining Standard, Mr Cleary was the Head of Emerging Market Debt and Global High Income at Invesco Asset Management, where over a period of more than 5 years he re-established and built up the company's capabilities in these strategies. His research responsibilities included the analysis of investment grade countries and global corporate credits. Prior to Invesco, Mr Cleary was employed by West Merchant Bank and Fisher Francis Trees & Watts, and SG Warburg. He has 19 years experience in the industry, managing Total Return and Benchmark style portfolios. He holds a BSc Management degree (International Business and Economics) from London School of Economics and has completed an Investment Management Programme at London Business School. In addition, Mr Cleary is a Board Member of EMTA (Trade Association for Emerging Markets) as a buy side representative.
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