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Macquarie Master Balanced Fund (0P00007AFW)

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1.583 +0.003    +0.16%
08/05 - 闭盘. AUD 货币 ( 免责声明 )
类型:  基金
市场:  澳大利亚
发行商:  Macquarie Bank Group
ISIN:  AU60MAQ00586 
资产类别:  股票
  • 晨星评级:
  • 总资产: 838.09M
Macquarie Master Balanced Fund 1.583 +0.003 +0.16%

0P00007AFW概述

 
本页面提供Macquarie Master Balanced Fund的详细介绍,帮助您了解0P00007AFW的高管、总资产、投资策略和联系方式等信息。
种类

Multisector Growth

总资产

838.09M

费用

开始日期

1995年6月29日

联络信息

地址 No.1 Martin Place
Sydney,NSW 2000
Australia
电话 +61 2 8245 4900

高管

名称 标题 任期
Gary Ding - 2014 now
背景介紹 Gary Ding is a senior portfolio manager for the Macquarie Asset Management Fixed Income (MFI) team’s diversified and multi-asset strategies. Since transferring from the MFI quantitative and markets research team in 2014, Ding has been responsible for all diversified and multi-asset strategies for Australian clients, including the Macquarie Access and Evolve Multi-Asset SMAs, the Macquarie Real Return Opportunities Fund and the Macquarie Balanced Growth Fund. Ding joined the firm in 2009 and has over 10 years of experience in multi-asset portfolio management as well as research. Ding earned a Bachelor of Actuarial Science and Bachelor of Commerce from the Australian National University. He is also a CFA Charterholder.
Dean Stewart - 2013 now
背景介紹 Dean Stewart is head of the Markets and Quantitative Research team in Macquarie Asset Management Fixed Income (MFI) and, with a team of 15 analysts, constantly enhances MFI’s processes and systems through quantitative research and thought leadership. He is also a lead portfolio manager for the Macquarie Real Return Opportunities Fund and Macquarie Secured Finance strategy. Stewart combines his fixed income experience with analytical rigor to continually improve investment processes. During his over 25 years at Macquarie, he has held numerous senior roles, including head of credit and head of fixed income and currency. Stewart holds a Master’s in Economics from Macquarie University and is a Fellow of the Actuaries Institute of Australia.
David Hanna Portfolio Manager, Head of Equity Portfolio Management 2006 now
背景介紹 Mr. Hanna is Head of Equity Portfolio Management at Knights of Columbus Asset Advisors. Mr. Hanna oversees the firm’s equity strategies and investment process. He serves as lead portfolio manager for the international equity strategy, co‒manages the global strategy, and was a founding team member of the international product launch in 2008. Mr. Hanna has specific expertise in the areas of international investing and risk management. Mr. Hanna has more than 35 years of industry‒related experience. Prior to joining the firm in 2007, he was a senior portfolio manager in the Global Hedge Fund Strategies Group at State Street Global Advisors (SSgA), where he managed US and European equity portfolios and traveled globally to support some of the world’s largest, most sophisticated institutions. He was with SSgA from 1997 to 2005, working in both the Boston and London offices. Prior to SSgA, he was Vice President, Quantitative Analysis, at Standish, Ayer & Wood from 1992-1997. Prior to that, he worked in proprietary trading, small cap portfolio management, and portfolio insurance. Mr. Hanna earned a BS degree in Finance from Pennsylvania State University in 1987 and completed an honors degree with a thesis on derivatives hedging entitled, "Portfolio Insurance ‒ A Simulation Using Binomial Option Pricing Theory." He also attended the Institut Universitaire de Technologie in Nice, France, focusing on European business. He is a graduate of Gordon Conwell Theological Seminary, earning an MA with coursework focused on faith‒based economic development and social justice.
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