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L'obiettivo del Fondo consiste nel massimizzare il valore delle sue azioni tramite l'incremento sia del valore che del reddito dei suoi investimenti. Il Fondo investe su base discrezionale principalmente in obbligazioni societarie denominate in euro. Gli investimenti possono comprendere strumenti di debito emessi da Stati membri dell'area euro. Per conseguire i suoi obiettivi il Fondo può investire in derivati per controbilanciare i rischi connessi alle oscillazioni dei mercati finanziari. Il Fondo può investire in derivati in chiave opportunistica per beneficiare dei ribassi delle quotazioni degli strumenti finanziari.
Nome | Titolo | Dal | Fino a |
---|---|---|---|
David X Stanley | - | 2001 | Adesso |
Biografia | David Stanley is a vice president of T. Rowe Price Group, Inc., and T. Rowe Price International Ltd and is a portfolio manager in the Fixed Income Division, responsible for European corporate bond selection. Prior to joining the London team in 2003, David was employed by Bank of America Capital Management, where he was a director and portfolio manager responsible for the analysis of international corporate bonds and cash investments. Prior to working for Bank of America, he was employed for eight years in Morgan Stanley Asset Management's London office, where he served as a fixed income fund manager responsible for international corporate bonds. David earned a B.A. in economics and social studies from the University of Manchester. | ||
Ian D. Kelson | Chairman | 2001 | 2003 |
Biografia | Ian D. Kelson is the head of T. Rowe Price's global fixed income team, a position he has held since joining the firm in 2000. As part of that role, Mr. Kelson is lead portfolio manager for T. Rowe Price's Non-U.S. Fixed Income Strategy and Global Bond Strategies. He is president of International Fixed Income for T. Rowe Price International Ltd and is also a vice president of T. Rowe Price Group, Inc. Mr. Kelson has 31 years of investment experience, 12 of which have been at T. Rowe Price. Prior to joining the firm, he spent 10 years as the head of fixed income for Morgan Grenfell/Deutsche Asset Management, where he was responsible for $50 billion of global fixed income assets. He started his investment career in 1981 at Bank of America, where he served as a fixed income economist and global fixed income portfolio manager. He was originally recruited to Morgan Grenfell as a global fixed income portfolio manager in 1985. A graduate of King's College, Cambridge University, Mr. Kelson earned an M.A. in economics. He also has an M.Sc. in econometrics from the London School of Economics. | ||
Kevin Patrick Loome | Portfolio Manager | 2001 | 2003 |
Biografia | Kevin Loome, Vice President of T. Rowe Price Group, Inc. and T. Rowe Price, is the Executive Vice President and Portfolio Manager of the Philadelphia-based T. Rowe Price U.S. High Yield Fund and is chairman of its Investment Advisory Committee. Mr. Loome joined the T. Rowe Price in 2017 through T. Rowe Price’s acquisition of the Henderson High Yield Opportunities Fund. Prior to joining the firm, Mr. Loome had worked with the Henderson team since 2013, most recently as head of U.S. credit and manager of the high yield team. |
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