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El objetivo del Fondo es lograr un crecimiento del capital a largo plazo. El Fondo invertirá en acciones de empresas del sector financiero de todo el mundo. El Fondo también invertirá, en menor medida, en las acciones de empresas relacionadas con el sector inmobiliario. El Fondo puede utilizar instrumentos derivados con fines de inversión. Los derivados permiten al Gestor de la cartera hacer un seguimiento de las variaciones en el precio de un activo, por ejemplo, las acciones de una empresa, sin poseerlo realmente.
Nombre | Título | Desde | Hasta |
---|---|---|---|
Guy de Blonay | Co-Manager | 2015 | Ahora |
Biografía | Guy de Blonay joined Jupiter in January 2010. He is a member of the Financials team. Guy co-manages the Jupiter Financial Opportunities Fund (Unit Trust) with Philip Gibbs and is the Lead Manager of the Jupiter Hyde Park Hedge Fund. Previously, Guy worked at New Star/Henderson for eight years managing the Henderson New Star Global Financials Fund, New Star Financial Opportunities Investment Trust and New Star Financials Hedge Fund. Prior to this, he worked for six years as an Analyst at Jupiter. | ||
Robert Mumby | Portfolio Manager | 2006 | 2015 |
Biografía | Robert Mumby hasmore than 25 years experience in the financial service sector, including 12 years as an investment analyst. He joined Jupiter in January 2006 to assist with the management of the Jupiter Financial Opportunities Fund. He is also Fund Manager of the financials segment of the Jupiter Global Managed Fund. | ||
Philip Gibbs | Director, Portfolio Manager | 2006 | 2011 |
Biografía | Philip Gibbs joined Jupiter in 1997. He manages the Jupiter Absolute Return Fund (Unit Trust), the Jupiter International Financials Fund (Unit Trust), the Jupiter Second Split Trust PLC and institutional assets. Philip also co-manages the Jupiter Financial Opportunities Fund (Unit Trust), the Jupiter Global Financials SICAV and is Deputy Manager of the Jupiter Hyde Park Hedge Fund, alongside Guy de Blonay. Philip has had extensive experience as a stockbroking analyst specialising in equities of UK financial companies, having worked in relevant roles between 1983 and 1997 for both BZW and Laing and Cruickshank. Philip gained a degree from Cambridge University and is a Chartered Accountant. |
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