Per Favore, prova con una nuova ricerca
Obiettivo di investimento: > Conseguire il massimo rendimento totale dell’investimento, grazie a reddito da interessi, rivalutazione del capitale e guadagni di valuta. Strategia di investimento: Massimizzare, tramite una gestione prudente dell’investimento il rendimento totale dell’investimento, composto da una combinazione di reddito da interessi, rivalutazione del capitale, e guadagni di valuta, investendo in un portafoglio di titoli a tasso fisso e variabile e obbligazioni di debito emesse da governi, enti parastatali o società emittenti con sede legale in Europa.
Nome | Titolo | Dal | Fino a |
---|---|---|---|
Rod MacPhee | - | 2020 | Adesso |
Biografia | Rod MacPhee is a portfolio manager and research analyst responsible for managing European portfolios. Prior to joining Franklin Templeton in 2013, Mr. MacPhee was a portfolio analyst working on Global Multi Strategy and Global Investment Grade portfolios at Western Asset Management. Mr. MacPhee holds a bachelor's degree in finance from the University of Lethbridge. He is a Chartered Financial Analyst (CFA) charterholder. | ||
David Zahn | Portfolio Manager | 2013 | Adesso |
Biografia | David Zahn, Head of European Fixed Income and Senior Vice President within Franklin Templeton's Fixed Income Group. Mr. Zahn leads the management of European fixed income strategies and is a member of the Fixed Income Policy Committee. He is also a portfolio manager for a number of Global Aggregate and Global Government fixed income portfolios. Prior to joining Franklin Templeton in 2006, Mr. Zahn was a senior portfolio manager at Citigroup Asset Management. Mr. Zahn holds a B.S. in business administration from the University of Maine and an M.B.A in finance from the University of Connecticut. | ||
John W. Beck | Portfolio Manager | 2006 | Adesso |
Biografia | John W. Beck is senior vice president and director of London Fixed Income for Franklin Templeton Fixed Income Group. In this role, he coordinates the London-based fixed income teams that manage the group's European Fixed Income and Emerging Markets Debt opportunities strategies. Mr. Beck is the lead portfolio manager responsible for Global Aggregate Strategies and manages portfolios for major institutions, including multinational pension funds and supranational organisations. He is a member of the Fixed Income Policy Committee. | ||
Sonal Desai | Executive Vice President | 2018 | 2024 |
Biografia | Sonal Desai, PhD, EVP, is Franklin Templeton Fixed Income Group’s Chief Investment Officer, a portfolio manager for several fixed income funds and a member of the firm's executive committee. Dr. Desai started her career in 1994 as a university academic, followed by six years at the International Monetary Fund after which she joined the private sector. She started working at Franklin Templeton in 2009. She holds a PhD(Econ) from Northwestern Univ. and a BA(Econ) from Delhi Univ. | ||
Michael J. Hasenstab | CIO (Chief Investment Officer) | 2006 | 2013 |
Biografia | Michael Hasenstab, Ph.D., has been a lead portfolio manager of Franklin Templeton which he first joined in 1995, rejoining again in 2001 after a three-year leave to obtain his Ph.D.. He was EVP and CIO for Templeton Global Macro, responsible for global macroeconomic and country-specific analysis, and interest rate, currency and sovereign credit market outlooks. He is an economic advisor to the CEO of Franklin Resources, Inc., providing perspective and insight through the lens of Templeton Global Macro.Dr. Hasenstab holds a Ph.D. in economics at Australian National University. | ||
Alexander C. Calvo | Portfolio Manager | 2003 | 2006 |
Biografia | Mr. Calvo is in charge of the strategic allocation and oversight of all client portfolios at BiscayneAmericas. Previously, he was Director of Global Fixed Income at Franklin Templeton Investments. In this capacity he directed all global macroeconomic and fixed income research and Investments. He also served as member of Franklin Templeton’s Global Economic Committee and was responsible for global macroeconomic analysis, with a focus on currencies, interest rates and sovereign credit analysis. Flagship funds managed by Mr. Calvo included Templeton Global Total Return Fund. |
Sei sicuro di voler bloccare %USER_NAME%?
Confermando il blocco tu e %USER_NAME% non potrete più vedere reciprocamente i vostri post su Investing.com.
%USER_NAME% è stato aggiunto correttamente alla lista di utenti bloccati
Poiché hai appena sbloccato questa persona, devi aspettare 48 ore prima di bloccarla nuovamente.
Considero questo commento come:
Grazie!
La tua segnalazione è stata inviata ai nostri moderatori che la esamineranno