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111,86M
2,30%
14.12.2007
El objetivo del Subfondo consiste en registrar una rentabilidad superior a la de su indicador de referencia en un horizonte de inversión recomendado de cinco años. Este Subfondo es una IIC gestionada activamente. El gestor de inversiones puede determinar, a su discreción, la composición de su cartera, teniendo en cuenta la política y los objetivos de inversión indicados. Este Subfondo no tiene como objetivo inversiones sostenibles de conformidad con el artículo 9(1) del Reglamento (UE) 2019/2088 sobre la divulgación de información relativa a la sostenibilidad en el sector de los servicios financieros («SFDR»), ni promueve características ambientales o sociales con arreglo al artículo 8(1) del SFDR. Si desea obtener más información acerca de la exposición de las inversiones del Subfondo a los riesgos de sostenibilidad, consulte el punto 29 de la Parte general del folleto.
Nombre | Título | Desde | Hasta |
---|---|---|---|
Amol Gogate | - | 2021 | Ahora |
Xavier Hovasse | - | 2011 | Ahora |
Biografía | · Education - 1999: Graduated from Ecole Supérieure de Commerce (ESCP-EAP), Paris - 2004 : CFA Charterholder · Professional experience - 1999-2003 : Analyst – Emerging Markets (BNP Asset Management, Paris) - 2003-2008 : Fund Manager – Emerging Markets (BNP Asset Management, Paris) -2008: Portfolio Manager (Richelieu Finance, Paris) - 2008 - 2010 : Analyst – Emerging Markets, Latin America & Africa (Carmignac Gestion) - January 2011 to date: Portfolio manager – Emerging Markets Equities (Carmignac Gestion) | ||
David Park | - | 2012 | 2019 |
Biografía | • Education 2002: Graduate from the University of Birmingham, BSc in Economics • Professional experience - 2004-2007: Hyundai Securities London ─ European Institutional Equity Sales - 2007 to date: Carmignac - Fund Manager (Emerging Equities) | ||
Simon Pickard | - | 2007 | 2012 |
Biografía | Simon Pickard (38), holds a Master of Arts from Trinity College, Cambridge. He is a qualified analyst (CFA) and began his career with the Hong Kong industrial group, John Swire & Sons, where he held several positions in Australia, Papua New Guinea, Singapore and Dubai. He then started working as a manager for Jupiter Asset Management in London, where between 1996 and 2000 he was responsible for several equity funds invested in Eastern Europe. Armed with this emerging markets experience, Simon joined Carmignac Gestion in 2000 and enjoyed enormous success until 2005 as head of European equities management. He then became involved in the development of Argos Investment Managers in Geneva, where he was European equities manager. | ||
Jordan Cvetanovski | - | 2007 | 2011 |
Biografía | Jordan has more than 20-years of international investing experience and has held numerous senior portfolio management positions in Europe and Australia. Prior to establishing Pella Funds Management, he was the CIO and Portfolio Manager for the Pengana International Equities and International Ethical strategies. Before his role at Pengana, Jordan was a Partner and Portfolio Manager at Carmignac Gestion (Paris), one of the largest boutique fund managers in Europe where he managed several strategies. These funds strongly outperformed and were amongst the highest-ranking European Funds. Prior to his role in Paris, Jordan was a co-Portfolio Manager at Robecco (Netherlands), and an Investment Analyst at Platinum AM and BT (Sydney). Jordan holds a B.Engin(Hons) and B.Econ from the Australian National University. | ||
Wen Zhang-Goldberg | - | 2007 | 2008 |
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