Per Favore, prova con una nuova ricerca
Il fondo si propone di consentire agli investitori di partecipare alla performance della Merger Arbitrage Strategy (la “Strategia”). L’obiettivo della Strategia, che è sostanzialmente una strategia azionaria guidata dagli eventi, è quello di generare rendimenti superiori rettificati per il rischio attraverso tutti i cicli di mercato. Nel contempo il fondo si avvale di un meccanismo dinamico di rischio (basato sull’approccio Valueat-Risk), che mira a contenere le possibili perdite. Investiamo, direttamente o indirettamente, utilizzando la Strategia, fino al 100% delle attività del Comparto in un portafoglio di azioni e titoli collegati ad azioni di società soggette a operazioni di fusione, rilevamento, offerte di acquisto o altre attività societarie.
Nome | Titolo | Dal | Fino a |
---|---|---|---|
Matthias Müller | - | 2020 | Adesso |
Biografia | Dr. Matthias Mueller is a Managing Director and CIO of the Multi Asset - Active Allocation team. The team was formed in 2005 and since then has experienced strong growth in assets under management. The team specializes in dynamic asset allocation strategies, predominantly for large institutional investors. As a senior portfolio manager, Matthias used to manage various institutional mandates as well as funds for unit-linked insurance products. Before joining the Multi Asset - Active Allocation team, Matthias was responsible for asset allocation and risk management at Allianz Global Investors’ balanced team from 2002 to 2005 and worked as a senior investment strategist at Allianz Asset Management from 1998 to 2002. He started working in the industry in 1995 as an European equity portfolio manager at Allianz Sachversicherungs-AG. Matthias holds a doctorate in monetary economics from J. W. Goethe University in Frankfurt. | ||
Sascha WEINBERG | - | 2020 | Adesso |
Claudia IANES BARBOSA | - | 2020 | Adesso |
Martin Dumke | - | 2018 | 2020 |
Tim Wooge | - | 2016 | 2020 |
Matthias Müller | - | 2016 | 2018 |
Biografia | Dr. Matthias Mueller is a Managing Director and CIO of the Multi Asset - Active Allocation team. The team was formed in 2005 and since then has experienced strong growth in assets under management. The team specializes in dynamic asset allocation strategies, predominantly for large institutional investors. As a senior portfolio manager, Matthias used to manage various institutional mandates as well as funds for unit-linked insurance products. Before joining the Multi Asset - Active Allocation team, Matthias was responsible for asset allocation and risk management at Allianz Global Investors’ balanced team from 2002 to 2005 and worked as a senior investment strategist at Allianz Asset Management from 1998 to 2002. He started working in the industry in 1995 as an European equity portfolio manager at Allianz Sachversicherungs-AG. Matthias holds a doctorate in monetary economics from J. W. Goethe University in Frankfurt. | ||
Roberto Bottoli | - | 2012 | 2016 |
Zijian Yang | Portfolio Manager | 2013 | 2016 |
Biografia | Dr. Yang is a portfolio manager with Allianz Global Investors, which he joined in 2008. He manages multi-asset portfolios for several institutional mandates and is involved with the research and development of investment strategies on the Multi Asset-Multi Strategy team. He has six years of investment-industry experience. Mr. Yang was previously in academic research at the University of Essex, UK, specializing in portfolio optimization. He has a Ph.D. in computational finance from the University of Essex. |
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