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El objetivo de la política de inversión consiste en obtener una revalorización duradera. Para lograr este objetivo, el fondo invierte hasta un 100% en renta variable, renta fija, certificados, instrumentos del mercado monetario y efectivo. Además, el fondo puede invertir en derivados para fines de cobertura y de inversión. El fondo invertirá en diferentes mercados e instrumentos en función del ciclo económico general y basándose en las estimaciones de la gestión del fondo. También pretende aprovechar la posibilidad de invertir en derivados para cubrir los riesgos de mercado.
Nombre | Título | Desde | Hasta |
---|---|---|---|
Christoph-Arend Schmidt | Vice President | 2022 | Ahora |
Biografía | Christoph-Arend Schmidt, CFA, Vice President. ■ Joined DWS in 2008. ■ Portfolio Manager for Multi Asset: Frankfurt. ■ MBA, University of Bayreuth, Germany. | ||
Henning Potstada | Managing Director | 2013 | Ahora |
Biografía | Henning Potstada, Managing Director. ■ Joined DWS in 2006. ■ Portfolio Manager for Multi Asset: Frankfurt. ■ MBA, University of Bayreuth, Germany. | ||
Klaus Kaldemorgen | Global Head | 2011 | Ahora |
Biografía | Global Head of Equities and member of the Asset Management Global Operating Committee; Spokesman of the Board of DWS Investment GmbH and Board Member of Deutsche Asset Management International GmbH: Frankfurt Joined the Company in 1982 as fund manager for international bonds; moved to international equities in 1983 and became head of international equities in 1991. In 2003 was appointed Board Member of DWS Investment GmbH and Head of Equities responsible for all equity fund management. In July 2005 became European Chief Investment Officer for Equities and in December 2005 was appointed to the Asset Management Global Operating Committee. In 2006 was named Global Head of Equities. | ||
Christoph-Arend Schmidt | Vice President | 2013 | 2022 |
Biografía | Christoph-Arend Schmidt, CFA, Vice President. ■ Joined DWS in 2008. ■ Portfolio Manager for Multi Asset: Frankfurt. ■ MBA, University of Bayreuth, Germany. | ||
Marc-Alexander Kniess | - | 2011 | 2013 |
Biografía | Marc-Alexander Knieß joined Lupus alpha in January 2017 as part of the Advanced Fixed Income department. Prior to that, he has been a portfolio manager at DWS / Deutsche Asset Management since March 2000, co-chairing the global equities team with Klaus Kaldemorgen. From 2013 onwards, Marc-Alexander Knieß was part of the newly established Specialized Convertible Bond team. In addition to global equity funds, he has been responsible for global convertible bond portfolios (including DWS Convertibles) since the beginning of his occupation as portfolio manager. Marc-Alexander Knieß completed an apprenticeship as banker. Moreover, he holds a degree in business administration from University of Hamburg and worked with University of Bamberg as a scientific employee researching the topic of Behavioral Finance. |
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