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El objetivo del Fondo es obtener ingresos. El Fondo invierte principalmente en instrumentos de deuda de alta calidad (incluyendo deuda emitida por sociedades y gobiernos) denominados en libras esterlinas. El Fondo se gestiona activamente conforme a sus objetivos, y no está limitado por un valor de referencia.
Nombre | Título | Desde | Hasta |
---|---|---|---|
Luke Greenwood | - | 2013 | Ahora |
Lyndon Man | Portfolio Manager | 2013 | Ahora |
Biografía | Lyndon joined Invesco in 2011 and is the principal portfolio manager for Invesco Fixed Income’s global Investment Grade credit funds. He manages portfolios with a range of investment strategies, including active alpha and enhanced beta. Prior to Invesco, Lyndon was with the Government of Singapore Investment Corporation (GIC) where he managed multi-asset as well as fixed income portfolios, specializing on relative value in derivatives – linear and option-related, as well as traditional asset allocation strategies. He began his time at the GIC as a quantitative analyst in 2005, where he led the quantitative platform in the development of pricing models and various quant strategies. Lyndon started off his career at Barclays Capital as a market risk manager in fixed income and emerging markets. Lyndon achieved a Masters in Chemistry and a BA (Hons) in Physical Science at the University of Oxford in 2001 and 2000 respectively. He is a CFA charterholder. | ||
David Todd | Analyst | 2007 | 2013 |
Biografía | Todd works for ING Barings Financial Markets. he moved into a Financial Control role within RBS Financial Markets and managed a team responsible for reporting the Interest Rate Derivative trader’s books. He joined INVESCO in 2004 as the European Financials analyst, covering European Banks and Insurance companies and combines that role with portfolio management and strategy input as part of the European credit team based in London. | ||
Mark Dowding | Co-Head | 2006 | 2007 |
Biografía | Mark is Chief Investment Officer for BlueBay fixed income. He has over 29 years' investment experience as a macro fixed income investor and has been a senior BlueBay portfolio manager since he joined in August 2010. As a macro risk taker, Mark actively pursues an open dialogue with policy makers and opinion formers, believing that proprietary research is key to gaining insights to generate strong investment returns. Prior to joining the firm, Mark was Head of Fixed Income in Europe for Deutsche Asset Management, a role he previously occupied at Invesco. He started his career as a fixed income |
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