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全球新兴市场短期债券基金接受积极管理及透过主 要投资于全球范围的多元化可转让债务证券,寻求 达致来自收入及资本增值的总回报。该等证券将由新兴市场国家或超国家实体,或总部设于新兴市场国家的金融机构或公司所发行或担保。组合基金亦可其次投资于由七大工业国国家或超国实体所发行或担保的债务证券及投资于与信贷挂钩的票据。
名称 | 标题 | 任期 | 至 |
---|---|---|---|
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. | ||
Henry Stipp | Managing Director, Portfolio Manager | 2009 | 2019 |
背景介紹 | Henry is a Portfolio Manager on the Emerging Markets Debt team. He joined MacKay in 2021 from BMO Global Asset Management. Prior to that, Henry spent 18 years at ColumbiaThreadneedle Investments where he was Head of Emerging Markets Fixed Income and Senior Portfolio Manager. Henry was the lead fund manager for a diverse range of Absolute Return, Local and Hard Currency Portfolios. He started his career in Brazil in 1991 with CSFB – Garantia at the Open-Market Trading Desk and has also worked for Modal Bank initially as a chief economist and then as Head of Research. Henry also worked as a Professor of Economics at the Catholic University of Rio de Janeiro lecturing Macroeconomic Policy. Henry holds PhD in Economics from University of London, a MSc with distinction in Macroeconomic Policy in Emerging Markets from DPPC-UK, and BSc in Economics from Catholic University of Rio de Janeiro. He has been in the investment industry since 1991. | ||
Zara Kazaryan | Portfolio Manager | 2014 | 2015 |
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. | ||
Paul Murray-John | Portfolio Manager | 2004 | 2009 |
背景介紹 | Murray-John joined LGT Asset Management as a trader in 1993, and became a portfolio manager in 1994. Previously, he spent a year as an analyst with Bloomberg, and four years as an investment manager with Robert Fleming & Co. Murray-John was born March 3, 1965 in Malaya, now part of Malaysia. He enjoys canoeing, motorbiking, and playing the clarinet in his spare time. |
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