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Il comparto investe non meno di 2/3 del patrimonio in un portafoglio diversificato di obbligazioni ed obbligazioni convertibili emesse da società di diritto privato, nonché in strumenti del mercato monetario, senza alcun vincolo geografico ed entro i limiti consentiti dalle restrizioni agli investimenti. Gli investimenti in obbligazioni convertibili non potranno rappresentare più del 30% del patrimonio. Gli investimenti saranno caratterizzati da un grado elevato di volatilità e da un rating non inferiore a B3 o B assegnati rispettivamente da Moody’s e Standard & Poor’s o, in assenza di un rating ufficiale, essere di qualità equivalente secondo l'Uffico Studi Finanziari di Pictet & Cie. Gli investimenti con rating inferiore a Baa3 o BBB non potranno rappresentare più del 25% del patrimonio netto del comparto, restando peraltro inteso che l’esposizione a singoli emittenti di una tale qualità non potrà essere superiore al 1,5 % del patrimonio.
Nome | Titolo | Dal | Fino a |
---|---|---|---|
Kyle Kloc | - | 2023 | Adesso |
Mathieu Magnin | - | 2007 | Adesso |
Frédéric Salmon | Head of Credit | 2007 | Adesso |
Biografia | Frédéric Salmon joined Pictet Asset Management in 2006 and is Head of Fundamental Systematic Investing (Developed Markets Credit in the Fixed Income team). Frédéric is Co-Lead Investment Manager of the Global Sustainable Credit fund. Frédéric has been Head of Developed Markets Credit from September 2017 to July 2022. Before joining Pictet, he worked for AXA Investment Managers and IXIS Asset Management as Senior Credit Portfolio Manager and Head of Credit respectively. Previously, he worked for Sogéposte SA (currently known as La Banque Postale AM) as Fixed Income Portfolio Manager and Head of Credit. He started his career as a financial engineer before moving to an investment role in 1995 managing money market and government bonds funds. Frédéric holds a Diploma of Advanced Studies in Finance from the University of Paris II and a Master's in Business Administration from the University of Paris XIII. He also holds a diploma from the Société Française des Analystes Financiers (SFAF). | ||
Andrew Wilmont | - | 2022 | 2023 |
Biografia | Andrew specialises in corporate bonds, particularly in (global) high yield and cross-over credits. Prior to joining AXA IM, Andrew held positions at Pareto Partners, New Flag Asset Management and Saudi International Bank, having started his career in London as a fundamental (Credit and equity) analyst. Andrew holds a MA in business and a LLM both from the Vrije Universiteit in Amsterdam, The Netherlands and is a CFA® Charterholder. | ||
Jon Mawby | - | 2020 | 2022 |
Biografia | Jon joined ECM in December 2005 from Gartmore Investment Management, where he was Portfolio Manager and Trader in the Institutional European Credit Group, working primarily on relative value CDS trading for the European Credit Hedge Fund. Prior to this, Jon was a Sterling Fund Manager at Morley Fund Management. Jon has a BA (Hons) in Economics from Durham University and is a CFA charterholder. | ||
Charles-Antoine Bory | - | 2020 | 2022 |
Justine Vroman | - | 2019 | 2020 |
Biografia | Justine previously worked at Pictet Asset Management as a Senior Investment Manager. She was lead Portfolio Manager on a number of Credit Investment Grade and Crossover strategies, including a Global Sustainable Credit fund. She additionally contributed to the development of a proprietary ESG framework. Justine holds a Master’s in Management from EDHEC Business School (France) and an MSc in Finance from the University of Strathclyde (UK). She is also a Certified International Investment Analyst (CIIA). | ||
Vincent Ferraton | - | 2009 | 2011 |
Rajeev de Mello | Head | 2002 | 2007 |
Biografia | Rajeev De Mello - Head of Asian Fixed Income - Head of Asian Fixed Income, based in Singapore - Joined Schroders in July 2011 - Previously worked at Western Asset Management as Senior Investment Officer, Country Head of Singapore, and member of the Global Investment Strategy Committee. - Prior to that, he was Head of Asian Fixed Income at Pictet Asset Management. Until 2005, he was Head of Fixed Income with specific responsibilities for European bonds and Global bonds. He joined Pictet in 1999 to manage European aggregate bond strategies. - Other positions held include Head of Asian Bond Trading at UBS (Warburg Dillon Read) Hong Kong, Consultant at McKinsey & Company and Trader in currencies and precious metals options at United Overseas Bank (BNP) and Credit Suisse First Boston. - Investment career commenced in 1987 - MBA, Georgetown University - Bachelor of Science in Economics (Honors), London School of Economics | ||
Guillaume Bucaille | - | 1999 | 2002 |
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