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145,12M
2,04%
02.02.1996
Il fondo è investito permanentemente al minimo al 90% in titoli di altri OICVM specializzati in azioni francesi, azioni dell’Area Euro, azioni internazionali, obbligazioni e atri titoli di credito denominati in euro, obbligazioni e altri titoli di credito internazionali, monetari euro, monetari a vocazione internazionali. Gli investimenti in OICVM specializzati in azioni francesi della zona euro o internazionali non superano l’80% dell’attivo del fondo. Esiste un rischio cambio.
Nome | Titolo | Dal | Fino a |
---|---|---|---|
Thiebaut de Buyer | - | 2024 | Adesso |
Biografia | Thiébaut de Buyer is a portfolio manager of MultiManagement products within the Retail Multigestion Team of Allianz Global Investors Multi Asset Europe, based in Paris, France. He covers thematics globally, as well as Japanese equities and absolute return strategies. He manages fund of funds for Allianz employee saving plan and a fund of funds dedicated to real assets. Before joining Allianz Global Investors at the beginning of 2001, Thiébaut worked at Dresdner RCM as a fixed income portfolio manager. Prior to that , he has held positions at the Banque International de Placements as a fixed income portfolio manager, as Head of Fixed Income Trading, as Head & Deputy Head of Loan Syndication (Francs and Euro) respectively. Thiébaut holds a degree in engineering with emphasis in IT from ESME. School of Engineering. | ||
Sandrine Chaudey | - | 2021 | Adesso |
Biografia | Sandrine Chaudey is a portfolio manager of MultiManagement products within the Retail Multigestion Team of Allianz Global Investors Multi Asset Europe, based in Paris, France. She manages flexible fund of funds with a buy and sell signal approach and covers Fixed Income globally, as well as absolute return strategies. Before joining Allianz Global Investors at the beginning of 2005, Sandrine worked as a fixed income portfolio manager at Fonds de Garantie and as portfolio manager assistant at Cortal Consors Fund Management. Sandrine holds a master degree in finance from the IESEG School of Management. | ||
Cecile Duran | - | 2018 | Adesso |
Biografia | Cécile Duran is a portfolio manager of MultiManagement products within the Retail Multigestion Team of Allianz Global Investors Multi Asset Europe, based in Paris, France. She covers European Equities funds with a specific focus on small and medium capitalisation funds that are elligible to the French PME-ETI law. She is also in charge of Private Equity strategies and manages balanced fund of funds, including a non-UCITS fund. Cécile joined Allianz Global Investors in September 1999, after qualifying from Poitiers University with a masters degree in financial strategies and collective savings. | ||
Eric Machenaud | - | 2021 | 2024 |
Biografia | Eric Machenaud is Lead Portfolio Manager of the Retail Multigestion Team of Allianz Global Investors Multi Asset Europe, based in Paris, France. He covers euro equity funds in Europe as well as absolute return strategies. He has been managing Allianz Multi profiled fund of funds family since 2002 for French retail clients. Eric started at Allianz Global Investors (aka Banque International de Placements then Dresdner RCM Gestion then AGF Asset Management) in 1987. During his time in the company, Eric has held positions as a fixed income portfolio manager, Head of balanced portfolios and Head of Multi-Management. Eric holds a masters degree in econometrics from Paris University—XII as well as an MBA from the University of San Francisco. Eric is an SFAF holder. | ||
Eric Machenaud | - | 2002 | 2018 |
Biografia | Eric Machenaud is Lead Portfolio Manager of the Retail Multigestion Team of Allianz Global Investors Multi Asset Europe, based in Paris, France. He covers euro equity funds in Europe as well as absolute return strategies. He has been managing Allianz Multi profiled fund of funds family since 2002 for French retail clients. Eric started at Allianz Global Investors (aka Banque International de Placements then Dresdner RCM Gestion then AGF Asset Management) in 1987. During his time in the company, Eric has held positions as a fixed income portfolio manager, Head of balanced portfolios and Head of Multi-Management. Eric holds a masters degree in econometrics from Paris University—XII as well as an MBA from the University of San Francisco. Eric is an SFAF holder. | ||
Hervé Akoun | - | 1996 | 2002 |
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