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BNP Paribas Funds Euro Inflation-Linked Bond Privl Capitalisation (0P00000XWK)

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123.020 -0.330    -0.27%
25/04 - 闭盘. EUR 货币 ( 免责声明 )
类型:  基金
市场:  卢森堡
发行商:  BNP Paribas Asset Management Luxembourg
ISIN:  LU0190306364 
资产类别:  债券
  • 晨星评级:
  • 总资产: 178M
Parvest Bond Euro Inflation Linked Privilege Capit 123.020 -0.330 -0.27%

0P00000XWK概述

 
本页面提供BNP Paribas Funds Euro Inflation-Linked Bond Privl Capitalisation的详细介绍,帮助您了解0P00000XWK的高管、总资产、投资策略和联系方式等信息。
种类

歐元通脹掛鉤債券

总资产

178M

费用

0.57%

开始日期

2004年4月20日

联络信息

地址 18 Harbour Road, Wanchai
Hong Kong,* *
Hong Kong
电话 852-2126-2228
传真 852-2509-4371

高管

名称 标题 任期
Jenny Yiu Portfolio Manager 2020 now
背景介紹 Jenny is a senior portfolio manager within the Global Rates team with responsibility for overseeing FFTW’s global inflation-linked bond portfolios and generating alpha ideas within rates and inflation markets for implementation across applicable portfolios. Jenny joined FFTW and the Inflation team in January 2005 and is based in New York. Prior to joining FFTW, Jenny worked at HSBC Hong Kong as a trader in Treasury & Capital Markets, making markets in secondary HKD corporate fixed income products and bringing out primary structured and plain vanilla HKD fixed income issuance along with the origination desk. Jenny also worked at HSBC in London where she gained capital market experience on the Market Risk Management, Debt Capital Markets, Eurobond Trading and Structured Credit Trading desks. Jenny holds a BS in economics with a concentration in finance, Magna Cum Laude from The Wharton School of the University of Pennsylvania (2000). She is a current CFA Charterholder.
Bacho Tkemaladze - 2020 now
Cedric Scholtes Portfolio Manager 2018 2020
背景介紹 Cedric Scholtes. Mr. Scholtes is Portfolio Manager and responsible for the day-to-day management of the American Independence U.S. Inflation-Protected Fund. He joined FFTW in June 2006 as a portfolio manager in the Governments and Inflation Team. He manages interest rate businesses with an emphasis on FFTW's central bank portfolios. Mr. Scholtes came from Goldman Sachs where he was a vice president in the Inflation Trading Group, Fixed Income Commodities & Currencies Division. His responsibilities included formulating and implementing trading strategies, making markets in inflation-linked securities and building inflation-market analytical tools. Before Goldman Sachs, he spent six years as a trader/analyst at both the Bank of England, where he worked on the Foreign Exchange Reserves Management Staff, and the Federal Reserve Bank of New York on the Treasury Market Policy Staff. Mr. Scholtes holds a Masters degree in Finance and Economics from Warwick Business School, a Masters in Economics from the London School of Economics, and an M.A./B.A. in economics from the University of Cambridge.
Claude Guerin - 2018 2020
Patrick Caillieux - 2018 2020
Yanick Loirat - 2009 2018
Patrick Barbe Head 2008 2009
背景介紹 Patrick Barbe has been Head of the European Fixed Income investment team at BNP Paribas Asset Management since 2000. As such, he is responsible for defining and piloting the management process and the investment strategy implemented by the management team. He specifies and coordinates the activities of each of the team members. He also actively participates in designing and developing the product range. Besides his management responsibilities, Patrick is a portfolio manager, in charge of defining duration bets, their size and their day-to-day adjustments, for the team. Patrick has acquired considerable expertise from his long professional experience in credit and fixed income management. Prior to joining BNP Paribas Asset Management, he was Head of European Fixed Income at BNP Gestions (a former BNP Paribas subsidiary) from 1997 to 2000. Between 1995 and 1996, he was Assistant Head of French Fixed Income. From 1988 to 1994, he worked as a portfolio manager for dedicated mutual funds with BNP (a former BNP Paribas subsidiary). Patrick graduated in Actuarial Studies from the Institut de Science Financière et d'Assurances in Lyon, France (1988).
Marc-Olivier Lebeau Senior Portfolio Manager 2006 2008
背景介紹 Marc-Olivier Lebeau joined BNP Paribas Asset Management in November 2006 as a senior portfolio manager. He is responsible for tactical strategies, put in place using derivatives. He also defines tactical bets with the Quant analysts, conducted using a Value at Risk (VaR) approach. Over his long-spanning career, Marc-Olivier has gained a great deal of experience in fixed income, with a specific focus on trading and prop-trading. From 1997 to 2006, he was Head of Dresdner Kleinwort Wasserstein’s trading desk in Paris, where he concentrated on relative value and arbitrage trading. Prior to this, from 1987 to 1997, he worked at the treasury desks (conventional, strips, options, prop-trading) of various major brokers such as CDC, CCF, CGM or FINACOR. Marc-Olivier holds a Master’s degree in Finance and Marketing from the Institut Superieur de Gestion, France (1988).
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