Berita Tergempar
Dapatkan 55% Potongan 0
👁 Cari saham yang menang seperti profesional dengan pandangan dikuasakan AI. Tawaran Cyber ​​Monday akan tamat tidak lama lagi!
TUNTUT JUALAN
Tutup

Aviva Investors - Global High Yield Bond Fund Rah Gbp Inc (0P0000Y9JG)

Buat Makluman
Baru!
Buat Makluman
Laman web
  • Sebagai pemberitahuan makluman
  • Untuk menggunakan ciri ini, pastikan anda mendaftar masuk ke akaun anda
Aplikasi Mudah Alih
  • Untuk menggunakan ciri ini, pastikan anda mendaftar masuk ke akaun anda
  • Pastikan anda mendaftar masuk dengan profil pengguna yang sama

Keadaan

Frekuensi

Sekali
%

Frekuensi

Frekuensi

Kaedah Penyampaian

Status

Tambah kepada/Keluarkan daripada Portfolio Tambah kepada Portfolio
Tambah ke Senarai Lihat
Tambah Kedudukan

Kedudukan berjaya ditambah ke:

Sila namakan portfolio pegangan anda
 
8.681 +0.010    +0.12%
20/12 - Ditutup. Matawang dalam GBP
Jenis:  Dana
Pasaran:  United Kingdom
Penerbit:  Aviva Investors Luxembourg SA
ISIN:  LU0880134928 
Kelas Aset:  Bon
  • Penarafan Morningstar:
  • Jumlah Aset: 3.77B
Aviva Investors - Global High Yield Bond Fund Rah 8.681 +0.010 +0.12%

Tinjauan 0P0000Y9JG

 
Di laman ini anda akan mendapat profil terperinci Aviva Investors - Global High Yield Bond Fund Rah Gbp Inc. Ketahui tentang pengurusan kanan, jumlah aset, strategi pelaburan dan maklumat untuk dihubungi 0P0000Y9JG antara maklumat lain.
Kategori

Global High Yield Bond - GBP Hedged

Jumlah Aset

3.77B

Perbelanjaan

0.74%

Tarikh Permulaan

Feb. 08, 2013

Maklumat Untuk Dihubungi

Alamat PO Box 1375
Grand Duchy of Luxembourg, L-1013 Luxembou
United Kingdom
Telefon (352) 40 28 20 261
Faks (352) 49 23 69

Eksekutif Tinggi

Nama Tajuk Sejak Sehingga
Pierre Ceyrac Portfolio Manager 2024 now
Biografi Pierre is a portfolio manager on the global high yield team, focusing on managing the global high yield strategies. Prior to assuming his current role, Pierre has managed multi-credit high beta and buy & hold high yield strategies at Aviva Investors. Previously, he was a high yield portfolio analyst. Pierre holds a Masters degree in Finance from Paris Dauphine University and an MSc in Banking and Finance from Queen Mary University of London. Pierre is also a CFA charterholder.
Sunita Kara portfolio manager 2013 now
Biografi Sunita is a high yield portfolio manager for our global high yield and bank loan products. Prior to joining Aviva Investors, Sunita was a global high yield portfolio manager for Baring Asset Management in London. Before assuming that role in 2008, she was a senior credit securities analyst with the same firm, responsible for researching global investment grade and high yield Corporates in the consumer sector. Her prior experience includes positions as a senior credit analyst with Standard & Poor’s and as an economic analyst with HM Treasury. Sunita holds a BSc (Hons) in Economics from Brunel University and is a CFA® charterholder.
Brent Finck - 2013 2024
Biografi Brent is a high yield portfolio manager for our global high yield, U.S. high yield and bank loan products. Prior to assuming the role of portfolio manager, Brent was a senior credit analyst. Before joining Aviva Investors, he worked as an investment analyst with Victory Park Capital, a multi-strategy hedge fund. His prior experience includes positions as an equity analyst with Robert W. Baird and a fixed income analyst with Conseco Capital Management. Brent holds a Bachelor’s degree in Finance from the University of Illinois. He is a CFA® charterholder and a member of both the CFA Institute and the CFA Society of Chicago.
Sau Mui Portfolio Manager 2022 2024
Biografi Based in Chicago, Sau is a portfolio manager on global, short duration, and US high yield strategies. Prior to joining Aviva Investors, Sau was a portfolio manager for PPM America in Chicago where she managed the firm’s core plus and credit-plus strategies on behalf of investors globally. Before assuming that role in 2019, Sau was a senior credit research analyst with the same firm, responsible for researching global investment grade and high yield Corporates in the financials sector. Her prior experience includes positions as a credit research analyst with Harris Associates and as a high yield research associate with Putnam Investments. Sau holds a Bachelor’s degree from Cornell University with a major in Hotel Administration and a minor in Real Estate, and a Master of Business Administration degree, with Honors, from the University of Chicago Booth School of Business with concentrations in Accounting, Economics and Behavioral Science. She is also a CFA® charterholder and a member of the CFA Society of Chicago.
Kevin Mathews Portfolio Manager 2014 2021
Biografi Kevin is responsible for overseeing all high yield strategies globally, including high yield bonds and bank loans. Prior to joining Aviva Investors, Kevin was Head of U.S. High Yield - High Yield Portfolio Manager with Scottish Widow Investment Partnership. His previous experience includes Head of Global High Yield – High Yield Portfolio Manager with F&C Investments, High Yield Portfolio Manager with Gulf International Bank, Senior Vice President – Senior Portfolio Manager with ING Investments, Vice President – Senior Portfolio Manager with Van Kampen Investments, Vice President – Securities Research with Southmark Corporation, Investment Officer with Texas Federal Savings & Loan Association, and Credit Analyst with Zale Corporation. Kevin holds a Bachelor’s degree in Finance from the University of Illinois and an MBA from Drake University.
Todd J. Youngberg Head 2008 2015
Biografi Todd Youngberg joined Aviva Investors in 2008. He is responsible for overseeing all High Yield strategies and managing the High Yield business. He joined the investment management industry in 1990. Prior to joining the firm, Todd was senior managing director and global head of High Yield for ABN AMRO Asset Management, Inc. He holds the CFA designation and is a member of the CFA Institute and the CFA Society of Chicago.
Chris Higham credit Researcher 2008 2013
Biografi Chris oversees a range of bond funds which invest across fixed-income assets, including investment-grade corporates, high-yield corporates, government, and emerging markets bonds. During 2013 the Aviva Investors Managed High Income Fund was awarded the Lipper Fund award within the Bond-Global High Yield category. In 2014 the Aviva Investors Strategic Bond Fund was the winner of the Investment Advisor 100 club Sterling Strategic Bond Fund of the year. Chris has managed the Strategic Bond Fund since its inception in 2008. Prior to joining Aviva Investors, Chris worked as a portfolio manager for Old Mutual Asset Managers. He joined the industry as a credit analyst. Chris graduated from Durham University with a BA (Hons) in economics. He is an associate member of the UK Society of Investment Professionals and is a CFA® charterholder.
Joshua Rank Portfolio Manager 2009 2013
Biografi Joshua is a high yield portfolio manager at Principal Global Investors. He is responsible for high yield and leveraged loan strategies. Joshua joined the firm in 2013. Prior to his current role, Joshua served as a vice president, senior high yield portfolio manager at Aviva Investors Americas. He received a bachelor's degree in finance from Iowa State University. Joshua holds the Chartered Financial Analyst designation.
Christopher Langs Managing Director 2008 2013
Biografi Christopher Langs has 30 years of industry experience and is a Portfolio Manager on the Public Securities Group's Real Asset Debt team. In this role, he oversees and contributes to the portfolio construction process, including execution of buy/sell decisions. Before joining the firm in 2022, Chris was Co-Chief Investment Officer of fixed income at Mesirow Financial. Prior experience includes portfolio management and credit research roles at Calamos Investments, Aviva Investors, and Standish, Ayer & Wood. Chris earned a Bachelor of Arts degree from Purdue University and a Master of Business Administration from the University of Chicago, and holds the Chartered Financial Analyst designation. He is a member of the CFA Society of Boston.
Jeremy Hughes SVP, Co-Portfolio Manager, High Yield 2008 2013
Biografi Jeremy Hughes is a Senior Vice President and Co-Portfolio Manager on the Growth/Fixed Income Team, focused primarily on high yield portfolios. He is one of the Investment Team leaders responsible for analysis and research. Prior to joining Calamos, Mr. Hughes was a Portfolio Manager at Aviva Investors in Chicago, overseeing high yield assets under management. Previously, he held high yield portfolio management and trading roles at ABN AMRO, Allstate, Citigroup and Van Kampen. Mr. Hughes is a CFA charterholder and a member of the CFA Institute.
Garis Panduan Komen

 

Kami menggalakkan anda agar menggunakan komen untuk berhubung dengan pengguna, berkongsi pandangan dan bertanya soalan tentang penulis dan satu sama lain. Bagaimanapun, bagi mengekalkan perbincangan terbaik yang kita jangka dan hargai, sila ambil perhatian akan kriteria berikut: 

  • Memperkayakan perbincangan.
  • Kekal fokus dan pada topik. Hanya nyatakan perkara yang relevan kepada topik yang dibincangkan.
  • Hormati yang lain. Pandangan negatif sekalipun boleh diutarakan dengan positif dan secara diplomatik.
  • Guna cara tulisan standard. Sertakan tanda dan huruf besar dan kecil.
  • NOTA: Mesej dan pautan spam dan/atau promosi dalam komen akan dikeluarkan.
  • Elakkan perkataan kotor, fitnah atau ancaman peribadi yang ditujukan kepada penulis atau pengguna lain.
  • Hanya komen Bahasa Melayu dibenarkan.
  • Jangan Memonopoli Perbualan. Kami hargai kesungguhan dan keyakinan, tetapi kami juga percaya dalam memberikan setiap orang peluang mengutarakan pandangan. Oleh itu, di samping interaksi beradab, kami berharap pemberi komen memberikan pandangan mereka dengan ringkas dan berhemah, tapi tidak terlalu kerap mengulanginya sehinggakan orang lain berasa tersinggung. Jika kami menerima aduan tentang individu yang memonopoli forum, kami berhak untuk menghalang mereka daripada laman ini, tanpa pampasan.

Pelaku spam atau penyalahgunaan akan dipadamkan daripada laman dan dilarang daripada pendaftaran akan datang pada budi bicara Investing.com.

Komen 0P0000Y9JG

Tulis pendapat anda tentang Aviva Investors - Global High Yield Bond Fund Rah Gbp Inc
 
Adakah anda pasti anda mahu padamkan carta ini?
 
Hantar
Hantarkan juga ke :
 
Gantikan carta yang disertakan dengan carta baru?
1000
Keupayaan anda untuk komen kini digantung kerana laporan negatif pengguna. Status anda akan disemak oleh moderator kami.
Sila tunggu seminit sebelum anda cuba untuk komen lagi.
Terima kasih atas komen anda. Sila ambil perhatian bahawa semua komen menanti sehingga diluluskan oleh moderator kami. Oleh itu ia mungkin mengambil masa sebelum ia terpapar di laman web kami.
 
Adakah anda pasti anda mahu padamkan carta ini?
 
Hantar
 
Gantikan carta yang disertakan dengan carta baru?
1000
Keupayaan anda untuk komen kini digantung kerana laporan negatif pengguna. Status anda akan disemak oleh moderator kami.
Sila tunggu seminit sebelum anda cuba untuk komen lagi.
Tambah Carta kepada Komen
Sahkan Halangan

Adakah anda pasti anda mahu halang %USER_NAME%?

Dengan berbuat demikian, anda dan %USER_NAME% tidak akan dapat melihat post satu sama lain.

%USER_NAME% telah berjaya ditambah ke Senarai Halangan anda

Oleh kerana anda baru sahaja berhenti halang orang ini, anda perlu menunggu 48 jam sebelum memperbaharui halangan itu.

Laporkan komen ini

Saya berpendapat komen ini:

Komen ditandakan

Thank You!

Laporan anda telah dihantar kepada moderator untuk semakan
Teruskan dengan Apple
Daftar dengan Google
atau
Daftar dengan E-mel