Per Favore, prova con una nuova ricerca
"L’obiettivo del fondo è generare un reddito costante in dollari USA. Il fondo investe principalmente in titoli a reddito fisso di qualità investment grade con scadenza da 1 a 5 anni di emittenti societari. Il fondo può ricorrere all’uso di strumenti derivati per ridurre il rischio di tasso insito nei titoli obbligazionari a lunga scadenza, con una duration obiettivo compresa fra 0 e 3 anni."
Nome | Titolo | Dal | Fino a |
---|---|---|---|
Dominik Heer | - | 2024 | Adesso |
Biografia | Dominik Heer (BA, MA), Director, is a Senior Portfolio Manager in the Global Fixed Income team at Credit Suisse Asset Management. He is responsible for managing global credit portfolios as well as overlay mandates. Dominik joined Credit Suisse Asset Management in 2016 from Finreon, where he was responsible for the company’s quantitative fixed-income fund and fixed-income advisory business. He started his career in 2011 as a credit flow trader at Commerzbank in London, covering the bank’s market-making activities for the utility and TMT sector. Dominik holds a bachelor’s degree in Economics as well as a master’s degree in Banking and Finance, both from the University of St. Gallen. | ||
Ramon Truffer | - | 2024 | Adesso |
Alexandre Bruhin | - | 2020 | 2024 |
Romeo Sakac | Analyst, PM | 2015 | 2024 |
Biografia | Romeo Sakac, Director, is a senior fixed income portfolio manager and the lead portfolio manager of the fixed income corporate short duration strategies. He also is a member of the Global Credit Group. Romeo joined Credit Suisse Asset Management in 2012 from Clariden Leu Asset Management. He was head of Liquidity Solutions at Clariden Leu, where he was responsible for the Money Market, Floating Rate Strategy and the Short-term Bond Funds. Romeo began his career at Clariden Leu asset Management (formerly Clariden Bank) in 1998 as a Risk Manager in the Risk Management department, responsible for equity and hedge funds. Romeo holds a Federal VET Diploma in commerce. In 2003 he got a certificate of Advanced Studies (CAS) in Financial Mathematics and Statistics from Lucerne University of Applied Sciences and Arts (Switzerland). | ||
Maurizio Pedrini | Head | 2002 | 2015 |
Biografia | Maurizio Pedrini is a Managing Director of Credit Suisse's Asset Management business, based in Zurich. He is Global Co-Head Fixed Income, focusing on retail funds and institu-tional products. He joined Credit Suisse in 1998. Prior to this he was Head of Bond Research and Bond Fund Management at UBS Private Banking. Maurizio has more than 17 years of professional experience in the fixed income and foreign exchange business. Maurizio holds a Master's degree from the University of Zu-rich (specializing in Finance and Monetary Theory) and is a Certified EFFAS Financial Ana-lyst. He is a visiting lecturer at the University of Zurich for the EFFAS Financial Analyst study course and at the University of Applied Sciences Northwestern Switzerland on various fixed income topics. Maurizio is a member of the Swiss Bond Commission. |
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