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El Subfondo tiene como objetivo lograr el crecimiento del capital invirtiendo principalmente en la Europa continental de capital de las empresas domiciliadas en, o establecidos en otro país, sino llevan a cabo sus actividades principalmente en la Europa continental, incluidos los de Francia, Alemania, España, Italia y Suiza. Los accionistas deben tener en cuenta que la rentabilidad por dividendo de este Subfondo es probable que sea muy bajo ya que los rendimientos de dividendos en muchas acciones europeas son mínimas. El Subfondo no podrá invertir en IIC y/o cuando dicha UCI OICVM y / o OICVM es en sí mismo un fondo de fondos o un alimentador de fondo.
Nombre | Título | Desde | Hasta |
---|---|---|---|
Ben Lambert | Portfolio Manager | 2022 | Ahora |
Biografía | Ben is a portfolio manager in Ninety One’s 4Factor team and is based in London. He co-manages the European Equity and International Equity strategies. Prior to joining the firm Ben was a senior portfolio manager responsible for Europe/Sustainable Equity at Canada Pension Plan Investment Board (CPPIB) where he developed and co-managed the plan’s European equity allocation. In 2018/19 Ben also took on the role of Head of Sustainable Investing overseeing and implementing transformative changes to the plan’s ESG approach. Most recently, Ben was portfolio manager for a dedicated sustainable equity strategy where he built up an impressive track record over the last three years. Before CPPIB, Ben was a portfolio manager at Och-Ziff Capital Management and with Odey Asset Management. Ben graduated from Bristol University with a Bachelor’s degree in Politics and French. | ||
Ken Hsia | - | 2012 | 2023 |
Biografía | Ken is the portfolio manager for the European strategies at Ninety One. Ken joined the firm in 2004 from MoVa Investment Partners, a hedge fund, where he was portfolio manager and co-founder. He was involved in managing a portfolio focused on European small and mid-cap stocks. Prior to that, Ken spent eight years at Fidelity Investments as an equity analyst covering a range of sectors including UK and European auto components, construction, non-food retail and utilities, and was assistant fund manager on the UK Recovery Trust (now renamed UK Aggressive). Ken graduated from Oxford University with a Doctorate in Organic Chemistry. He is also an associate member of the UK Society of Investment Professionals (UKSIP) and a CFA® charterholder. | ||
Nigel Hankin | Portfolio Manager | 1985 | 2012 |
Biografía | Nigel is co-portfolio manager for the Global Endurance Equity Strategy in the 4Factor team at Investec Asset Management. He joined Investec Asset Management from Mirabaud, where he was tasked with the launch of a new global equity research product for the firm. Nigel has a wide variety of experience managing equities and developing products, most recently as deputy head of the global equity team of RCM. He was also one of the founders of Draycott Partners, where he played a key role in building its US business and managed European equities for the company after its sale to Alliance Capital Management International. Nigel started his career at Royal London as a European equity portfolio manager, where he launched a retail European equity product. He graduated from Oxford University with a first class degree in Modern History and Economics in 1985. | ||
Jacob Robbins | - | 2007 | 2011 |
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