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Investimento principale in quote di OICR denominati in Euro, Dollari USA, Sterline, Yen e Franchi Svizzeri, specializzati nell’investimento in strumenti di mercato monetario, in titoli obbligazionari e in titoli azionari. La componente azionaria può variare tra lo 0% ed il 75% del patrimonio. L’investimento diretto in strumenti finanziari di natura obbligazionaria, azionaria e monetaria è previsto nella misura massima del 30% delle attività del Fondo. L’investimento in OICR armonizzati che perseguono strategie alternative (c.d. liquid alternatives) non può essere superiore al 20%.
Nome | Titolo | Dal | Fino a |
---|---|---|---|
Alexander SCHAEFER | - | 2024 | Adesso |
Jurijs GNUSINS | - | 2021 | Adesso |
Jörg Schlinghoff | - | 2013 | Adesso |
Biografia | Jörg is Deputy Head of the Retail VermögensManagement Team of Allianz Global Investors Multi Asset Europe and a senior portfolio manager of multi management portfolios. His research responsibilities include European equity as well as subordinated bond funds. Jörg joined Allianz Global Investors (formerly cominvest) in February 2007 as head of the balanced fund management team. Prior to that, he managed portfolios across different asset classes and mandate types (equities, bonds, convertibles and balanced mandates). Jörg started his career as an equity analyst in 1989. Jörg graduated with a degree from the University of Applied Sciences in Cologne in 1989. He also holds the CEFA designation. | ||
Lennart Segler | - | 2019 | 2024 |
Eric Machenaud | - | 2019 | 2021 |
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. | ||
Simon Frank | - | 2016 | 2019 |
Matteo Campi | - | 2013 | 2013 |
Livio Raimondi | - | 2008 | 2012 |
Dario Brandolini | - | 2004 | 2008 |
Massimo Morchio | - | 2001 | 2004 |
Biografia | Massimo Morchio, Chief Executive Officer More than 25 years of portfolio management experience. Chief Investment Officer of Ras Asset Management from 2001 to 2007, managing Eur 42 bil in mutual funds, private clients, pension funds and RAS insurance assets. Team consisting of 55 money managers. Head of Equities at Ras Asset Management from 1998 to 2001. Head of Specialists Funds at Allianz - Pimco from 1998 to 2001. Degree in economics from Turin University 110/110 “Cum Laude” and “Menzione d’Onore”. Honorary member of CFA Society as of June 2007. Since 2002 directly managing Ras Research, a concentrated global equity fund. The strategy employed has beaten its benchmark by 28 percentage points in the last 4 years. GIPS track record available. |
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