
Per Favore, prova con una nuova ricerca
214,17M
0,98%
19.10.2009
Investiamo in obbligazioni indicizzate all'inflazione di tutto il mondo con scadenza compresa in genere tra uno e dieci anni. Il gestore assume un approccio attivo e intende conservare il potere d'acquisto degli investimenti per un periodo medio di trecinque anni. Il patrimonio del fondo è investito soprattutto in obbligazioni di emittenti con un buon merito di credito (investment grade). Queste obbligazioni sono piuttosto sensibili ai tassi d'interesse e ciò significa che i loro prezzi variano in modo moderato in funzione delle variazioni dei tassi d'interesse. Gli investitori possono chiedere il rimborso delle proprie quote alla società d'investimento in ogni normale giorno lavorativo bancario. I redditi del fondo non vengono versati, ma reinvestiti.
Nome | Titolo | Dal | Fino a |
---|---|---|---|
Alexander Wise | - | 2019 | Adesso |
Jerry Jones | Portfolio Manager | 2014 | Adesso |
Biografia | Jerry Jones is a Portfolio Manager in the Fixed Income team. He contributes to the management of a range of global sovereign and currency strategies. Jerry joined UBS Asset Management in November 2014. He was previously at the Bank of England, and spent seven years working in the Reserves Management area, most recently as a senior portfolio manager, where he actively managed the US Dollar and Canadian fixed income portfolios. He had previously managed the Euro and Yen portfolios. Prior to working in Reserves Management, Jerry also held roles in the Monetary Analysis and Risk Management Divisions at the Bank. | ||
Kevin Ziyi Zhao | executive Director, Senior Portfolio Manager | 2014 | Adesso |
Biografia | Kevin Zhao is the lead portfolio manager on all active Global Sovereign and Currency strategies. In this role he is responsible for all investment decisions taken for and implemented in these strategies. He is a member of the Fixed Income Investment Forum. Kevin joined UBS Asset Management in October 2011. He previously worked at Union Bancaire Privée where he was Senior Portfolio Manager, Absolute Return from 2009 to 2011. Prior to this, Kevin worked at Goldman Sachs Asset Management for a total of 14 years, from 2004 to 2008 and from 1993 to 2003 in a number of senior fixed income portfolio management roles, including Head of European Fixed Income and Head of Global Short Duration. During 2003 and 2004 he was a senior global macro trader at Brevan Howard Asset Management. | ||
Gordon Harding | - | 2018 | 2019 |
Simon Foster | - | 2013 | 2018 |
Nick Smyth | - | 2014 | 2017 |
Biografia | Nick Smyth is a Portfolio Manager in the Fixed Income team. He contributes to the management of a range of global sovereign and currency strategies. Nick joined UBS Asset Management in 2013. He was previously at the Bank of England for four years, most recently as a manager in the Foreign Exchange Division, responsible for the management of the UK’s foreign currency reserves. Prior to this, Nick worked at the Reserve Bank of New Zealand from 2004 to 2009, where he was a portfolio manager of their foreign currency reserves. Nick is a Regular Member of the CFA Society of New Zealand and the CFA Institute. | ||
David Hoskins | - | 2013 | 2014 |
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