Por favor, inténtelo con una nueva búsqueda
2,07B
0,86%
16.02.2016
El Fondo tiene por objetivo obtener rentabilidad mediante la generacionde ingresos y el crecimiento del importe de su inversion. Invierteprincipalmente en bonos que pagan un interes fijo.El objetivo del Fondo es superar el rendimiento de su indice dereferencia, el Merrill Lynch Global High Yield Constrained Index. Lainversion del Fondo puede distanciarse sustancialmente de este indice silas condiciones del mercado lo justifican. Al menos dos tercios de lasinversiones del Fondo se destinaran a bonos de renta fija que paguenuna renta comparativamente alta y que se encuentren por debajo de lacalificacion apta para la inversion de una agencia de calificación crediticia.
Nombre | Título | Desde | Hasta |
---|---|---|---|
Andrzej Skiba | Senior Portfolio Manager | 2018 | Ahora |
Biografía | Andrzej joined BlueBay in February 2005 and is a Senior Portfolio Manager responsible for the Developed Markets team and is based in Stamford, Connecticut. Prior to BlueBay, Andrzej worked for Goldman Sachs as a credit analyst covering European investment grade telecom, media and utility sectors. Andrzej holds a BSc (Hons) in Management and International Business Economics from UMIST and is a CFA charterholder. | ||
Justin Jewell | Partner | 2016 | Ahora |
Biografía | Justin is Co-Head of BlueBay's Global Leveraged Finance Long-Only Strategies and a senior portfolio manager within the Global Leveraged Finance Group. Justin joined BlueBay in 2009, initially as Head of High Yield Trading, before moving into portfolio management at the beginning of 2012. He has spent a large part of his career at UBS where, most recently, he was Director of High Yield and Distressed Trading in Europe. | ||
Thomas Kreuzer | Portfolio Manager | 2013 | 2020 |
Biografía | Tom joined BlueBay in July 2002 and is Co-Head of BlueBay's Global Leveraged Finance Long-Only Strategies based in the Stamford, Connecticut, office. Prior to BlueBay, Tom spent three years at Deutsche Bank within the Leveraged Finance and Financial Sponsor Group, in New York and London, where he was an analyst prior to being promoted to Associate in 2002. Tom holds a BA (cum laude) from Middlebury College, USA. | ||
Anthony Robertson | Senior Portfolio Manager | 2012 | 2016 |
Biografía | Anthony Robertson is Senior Portfolio Manager and Head of High Yield and Distressed Debt Group. He has been in the investment industry since 1992. |
¿Está seguro de que desea bloquear a %USER_NAME%?
Al hacerlo, ni usted ni %USER_NAME% podrán ver las publicaciones del otro en Investing.com.
Se ha agregado correctamente a %USER_NAME% a su lista de usuarios bloqueados
Acaba de desbloquear a esta persona; tiene que esperar 48 horas para poder bloquearla de nuevo.
Díganos qué piensa de este comentario
Gracias
Su denuncia será examinada por nuestros moderadores