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BlackRock Global Funds - China Bond Fund E2 EUR (0P0000VTR5)

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17.080 +0.040    +0.23%
20/12 - 闭盘. EUR 货币
类型:  基金
市场:  卢森堡
发行商:  BlackRock (Luxembourg) SA
ISIN:  LU0764816798 
资产类别:  债券
  • 晨星评级:
  • 总资产: 358.23M
BlackRock Global Funds - Renminbi Bond Fund E2 EUR 17.080 +0.040 +0.23%

0P0000VTR5概述

 
本页面提供BlackRock Global Funds - China Bond Fund E2 EUR的详细介绍,帮助您了解0P0000VTR5的高管、总资产、投资策略和联系方式等信息。
种类

RMB Bond

总资产

358.23M

费用

1.52%

开始日期

2012年3月28日

投资策略

以尽量提高总回报为目标,透过认可机制(包括但不限于中国银行间债券市场、交易所债券市场、报价系统及/或透过境内或境外发行及/或任何日后开发的渠道)将至少70%的总资产投资于中国政府及政府机构或在中国从事大部份经济活动的实体发行并以人民币或其他非中国当地货币(即非人民币货币)计值的定息可转让证券。基金可透过以下个别方式投资于中国而不受限制:(1)Qfi制度及(2)透过(I)境外投资计划及/或(Ii)债券通及/或(Iii)相关规例可能不时允许的其他方法投资于中国银行间债券市场。基金可投资于全部允许的定息可转让证券及定息相关证券,包括城投债(最多为总资产的100%)及非投资级**(以总资产的50%为限)。货币风险将灵活管理。在遵守适用的监管限制及内部指引下,余下的30%资产可投资于全球经济体系任何行业内任何规模的公司或发行人所发行的金融工具,例如债务及其他证券,惟基金投资于股票的资产以不多于10%为限。预期基金不会以超过其资产净值的10%投资于由任何单一主权国发行及/或担保并现时属非投资级的债务证券。基金在或然可换股债券的投资以其总资产的20%为限。

联络信息

地址 35 A, avenue J.F. Kennedy,
Luxembourg, L-1855
Luxembourg
电话 +44 20 77433000
传真 Amsterdam

高管

名称 标题 任期
Yingbo Xu - 2023 now
背景介紹 Yingbo Xu, Vice President, is a portfolio manager focusing on China onshore credit and a member of the Asia Fixed Income & Credit team. Before joining Blackrock in 2022, he was a portfolio manager at ICBC-CS Asset Management in Beijing, managing portfolios focused on China onshore credit for 9 years. Mr Xu earned an Undergraduate degree in Economics and Statics from the University College London and a Post Graduate Degree in Statistics from the University of Oxford.
Suanjin Tan - 2021 now
Yii Hui Wong - 2021 now
Eric Liu Partner, VP, PM & Senior International Investment Analyst 2016 2022
背景介紹 • Vice President of the Oakmark Funds • Portfolio Manager of the Oakmark Global Fund, the Oakmark Global Select Fund and the Oakmark International Fund • Portfolio Manager of the Global All Cap, Global, Global Concentrated, International and Japan Strategies • BA (University of California Los Angeles, 2001) • MBA (University of Chicago, 2009) • Research Associate at Dodge & Cox (2004-07); Investment Banking Analyst at Jefferies & Company (2002-04)
Artur Piasecki Director 2016 2022
背景介紹 Artur Piasecki, CFA, Director, is a member of Blackrock’s Global Fixed Income & Credit Platform. He is a senior portfolio manager. In addition, He is a voting member on the Asia-Pacific Private Credit investment committee. Prior to his current role, Mr. Piasecki was at R3 Capital Partners responsible for the management of Asian credit and equity-linked portfolios until 2009 when he joined BlackRock. Previously, he was working on proprietary trading desks at JP Morgan and Lehman Brothers. Before moving to Asia, he worked as Bond Market Maker at JP Morgan London. Mr. Piasecki earned a MS degree in International Relations and Foreign Trade, summa cum laude, from the Poznan University of Economics and an MS degree in International Business Economics from the Aalborg University.
Suanjin Tan - 2011 2016
Neil Weller - 2011 2013
背景介紹 Neil Weller, executive director, is a member of the Global Fixed Income, Currency & Commodities (GFICC) group. Based in London, Neil is a senior portfolio manager and strategist within the Currency team and is responsible for leading our Developed Markets currency strategy. He is also a member of the Currency Investment Policy Committee (CIPC), which has overall responsibility and oversight of the currency investment process. An employee since 2014, Neil was most recently a portfolio manager at BlackRock based in Hong Kong with responsibility for currency strategies including discretionary alpha generation and systematic dynamic hedging. Prior to relocating to Hong Kong in 2011, Neil worked in London as an FX portfolio manager at BlackRock and Merrill Lynch Investment Managers. Neil holds a Master of Mathematics degree from the University of Durham and is a CFA charterholder.
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