突发资讯
劲爆优惠55% 0
🏃 抢先一步,提前畅享黑五优惠。立即领取InvestingPro最高五折特惠!
手慢无
结束

Muzinich Credit Opportunities Fund Institutional Shares (MZCIX)

创建提醒
New!
创建提醒
网站
  • 作为提醒通知
  • 您需要登录至您的账户才能使用此功能
移动App
  • 您需要登录至您的账户才能使用此功能
  • 请确保以同样的用户个人资料登录

条件

提醒频率

一次
%

提醒频率

提醒频率

通知方式

状态

从投资组合添加/删除 添加至投资组合
添加至自选组合
添加头寸

头寸已成功添加至:

请给您的持仓投资组合命名
 
9.95 +0.01    +0.10%
11/11 - 延迟数据. USD 货币
类型:  基金
市场:  美国
发行商:  Muzinich
资产类别:  债券
  • 晨星评级:
  • 总资产: 94.59M
Muzinich Credit Opps Instl 9.95 +0.01 +0.10%

MZCIX概述

 
本页面提供Muzinich Credit Opportunities Fund Institutional Shares的详细介绍,帮助您了解MZCIX的高管、总资产、投资策略和联系方式等信息。
种类

Multisector Bond

总资产

94.59M

费用

0.67%

开始日期

41926

联络信息

地址 450 Park Avenue
New York,NY 10022
United States
电话 -

高管

名称 标题 任期
Stuart Fuller - 2022 now
背景介紹 Stuart joined ECM in 2002 and moved to the Loans team in 2006. He is responsible for portfolio management, analysis of corporate loans and senior secured high yield investments in ECM’s portfolios. With the majority of his experience being gained at ECM he has more than 10 years of credit market investment experience, covering Loans, Mezzanine, High Yield, Investment Grade, ABS & Credit Financings. Prior to ECM Stuart held internships including brokerage Tullett & Tokyo Liberty Ltd. He graduated with a BSc from St Andrews University.Stuart Fuller joined Muzinich in 2016. Stuart is a Portfolio Manager with 16 years of corporate credit experience. Prior to joining Muzinich, Stuart worked for ECM Asset Management Limited from 2002 to 2016, where he was a Portfolio Manager responsible for loan and high yield investments in multi-strategy and asset-class-specific programs and credit analysis of senior and subordinated loan positions across a wide range of industries for all of ECM’s portfolios. Stuart started his career at Tullett & Tokyo Liberty Ltd. Stuart earned a B.Sc. from the Faculty of Science at St Andrews University.
Joseph Galzerano Portfolio Manager 2018 now
背景介紹 Joseph joined Muzinich in 2010. He is a Portfolio Manager focusing on U.S. high yield. Prior to joining Muzinich, Joseph worked at Babson Capital Management where he was Managing Director and Senior Investment Analyst. Previously, he held Senior Analyst positions in high yield research at CIBC World Markets and Citicorp Securities. Joseph earned a B.A., Epsilon Sigma Pi, cum laude, from Manhattan College, and an M.B.A. in Corporate Finance from Fordham University where he finished his degree with honor designations Phi Kappa Phi and Beta Gamma Sigma. He was formally credit trained at the Citicorp Global Institute of Finance and is a Certified Public Accountant.
Anthony DeMeo Portfolio Manager 2016 now
背景介紹 Anthony joined Muzinich in 2015. He is a Portfolio Manager focusing on US investment grade bonds and a PM for the Enhancedyield Short-Term and Low Duration Funds. Prior to joining Muzinich, Anthony was an Investment Grade Credit Trader at Société Générale for four years focusing on the consumer, retail and industrial sectors.  Previously, he spent 11 years in debt capital markets at Barclays Capital and Deutsche Bank where he advised corporations on financing and solution strategies.  Anthony earned a B.A. in Economics from Cornell University.
Warren Hyland Portfolio Manager 2014 now
背景介紹 Warren joined Muzinich in 2013. He is a Portfolio Manager focusing on emerging markets credit and is the lead PM for the Emerging Markets Short Duration Fund, the Emerging Market Corporate Debt Fund, and the Asia Credit Opportunities Fund. Prior to joining Muzinich, Warren was with Schroders, where he was a Global Portfolio Manager and later, the Senior Portfolio Manager for Global Emerging Markets. In the latter role, he managed about $2 billion and helped to develop the firm’s emerging markets corporate capabilities. Previously, Warren was the Head of European Money Markets at UniCredito Italiano. Warren earned a B.Sc. in Mathematics for Business from the Middlesex University London and an M.Sc. in Shipping Trade and Finance from the CASS Business School. He holds the Chartered Financial Analyst designation.
Thomas Samson Portfolio Manager 2014 now
背景介紹 Thomas joined Muzinich in 2004. He is a Portfolio Manager, a member of the firm’s Investment Committee and the lead PM for the Europeyield Fund. Prior to joining Muzinich, Thomas worked as an Investment Analyst at Trafalgar Asset Managers, a distressed-debt hedge fund. Previously, he worked as a financial Analyst at GE Capital. Thomas has a Masters in Finance from London Business School and earned an M.Sc. in Corporate Finance from the Institut d’Études Politiques de Paris, France. He holds the Chartered Financial Analyst designation.
Michael L. McEachern Portfolio Manager 2013 now
背景介紹 Mike joined Muzinich in 2012. He is the Head of Public Markets, a Portfolio Manager and a member of the firm’s Investment Committee. Mike is also the lead PM for the Global Tactical Credit and Credit Opportunities Funds. Prior to joining Muzinich, he was President and Head of the High Yield Division at Seix Advisors, Inc. At Seix Advisors, Mike was the Founding Partner of the high yield strategy that grew to over $13 billion, under his leadership. Previously, he served in various research and portfolio management capacities at American General Corp. and at Capital Holding Corporation. Mike earned a B.A. in Management Science from the University of California, San Diego and an M.B.A. from Rice University. He holds the Chartered Financial Analyst Designation.
Brian Nold Senior Analyst 2021 2024
背景介紹 Brian is a senior portfolio manager and a senior high yield research analyst covering both healthcare and utilities. As senior portfolio manager, Brian has lead responsibility for the High Yield Unconstrained Strategy in addition to his involvement with the Flagship High Yield portfolios. Before joining Seix, he was a high yield analyst at Morgan Stanley in Global High Yield Research. Brian was a member of the Institutional Investor Health Care Research Team, ranked #1 for three consecutive years. Earlier, he was an active member of Morgan Stanley's Capital Markets Team, providing research reports and conducting due diligence reviews. Brian received a B.A. degree in Environmental Science from the University of Virginia. He was awarded the Doctor of Medicine degree from the University of Virginia Medical School and has published research in the Journal of Allergy & Clinical Immunology.
Torben Ronberg - 2018 2022
背景介紹 Torben joined Muzinich in 2016. He is a Portfolio Manager focusing on syndicated loans. Prior to joining Muzinich, Torben was with ECM Asset Management Limited, a Wells Fargo company, where he was Head of Sub-Investment Grade responsible for overseeing all loan and high yield investments in asset class specific portfolios, as well as across ECM’s multi asset class portfolios. Previously, he was at Danske Bank Group in Copenhagen and London. Torben has more than 20 years of experience in corporate banking and the leveraged finance market in particular. He holds an Executive M.B.A. from London Business School.
Bryan Petermann Portfolio Manager 2013 2013
背景介紹 Bryan, Portfolio Manager, joined Muzinich in 2010 from Pinebridge Investments (formerly AIG Investments) where he served as Managing Director, Head of high yield for the last five years of his tenure. Bryan started his career in the banking sector. He worked in the media and cable groups at the Union Bank of California and Banque Paribas. Previously, he participated in the start of Société Générale’s cable and media group. Bryan received a B.A. from the University of California, Los Angeles where he was a Phi Beta Kappa scholar, and an M.B.A. from the University of California, Berkeley
Clint Comeaux Managing Director, Head of High Yield and Senior Credit, PM 2013 2013
背景介紹 Clint is a Portfolio Manager, Head of High Yield and member of the Onex Credit Investment Committee. Clint has 24 years of experience. Prior to joining Onex Credit, Clint was a Portfolio Manager at Muzinich & Company where he focused on U.S. High Yield, Global High Yield and Target Dated investment strategies. He was also a member of the firm’s Investment Committee and ESG Steering Committee. Prior to joining Muzinich, Clint held positions at WR Huff Asset Management, Enron Corporation and PPG Industries.
评论指南

我们鼓励您使用评论,与用户沟通,共享您的观点并向作者及互相提问。 但是,为了获得有价值和期待的高水平评论,请注意以下标准:

  • 丰富对话
  • 保持关注及正确方向。 只发布与所讨论话题相关的材料。
  • 保持尊重。 即使是负面的意见,也可以用积极的外交辞令进行组织。
  • 用标准书写风格。 包括标点和大小写。
  • 注: 评论中如有垃圾和/或促销信息和链接都将被删除。
  • 避免亵渎、诽谤或人身攻击,对于作者或其他用户。
  • 仅允许中文评论。

垃圾邮件或滥发信息的肇事者都将被从网站删除并禁止以后进行注册,这由Investing.com自由决定。

MZCIX评论

写出您对于 Muzinich Credit Opportunities Fund Institutional Shares 的看法
 
确定删除此图表?
 
发布
 
用新图表更换现在所附的图表?
1000
由于有用户举报,您暂时无法发表评论。我们的编辑将对于您的状况进行审核。
请等待一分钟后再次发表评论
非常感谢您的评论!您的评论正在进行版主审核,可能需要一段时间才会发布在网站上。
 
确定删除此图表?
 
发布
 
用新图表更换现在所附的图表?
1000
由于有用户举报,您暂时无法发表评论。我们的编辑将对于您的状况进行审核。
请等待一分钟后再次发表评论
在评论中添加图表
确认屏蔽

确定屏蔽%USER_NAME%?

如果屏蔽,您和%USER_NAME%都无法看到相互在Investing.com上发布的信息。

%USER_NAME%已成功添加至屏蔽列表

由于您刚刚取消屏蔽此人,因此必须等待48小时才能重新屏蔽。

举报该评论

您举报该评论的原因为:

该评论已被标注

谢谢您!

您的举报将会被发送到管理员进行审核