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Lazard Global Managed Volatility Fund A Acc Usd (0P0000UURA)

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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
 
229.715 -0.560    -0.24%
17/08 - Data Tertunda. Matawang dalam USD ( Penolak Tuntutan )
Jenis:  Dana
Pasaran:  Ireland
Penerbit:  Lazard Fund Managers (Ireland) Ltd
ISIN:  IE00B563W456 
Kelas Aset:  Ekuiti
  • Penarafan Morningstar:
  • Jumlah Aset: 72.32M
Lazard Global Managed Volatility Fund A Acc USD 229.715 -0.560 -0.24%

Tinjauan 0P0000UURA

 
Di laman ini anda akan mendapat profil terperinci Lazard Global Managed Volatility Fund A Acc Usd. Ketahui tentang pengurusan kanan, jumlah aset, strategi pelaburan dan maklumat untuk dihubungi 0P0000UURA antara maklumat lain.
Kategori

Global Large-Cap Blend Equity

Jumlah Aset

72.32M

Perbelanjaan

0.85%

Tarikh Permulaan

Dis. 12, 2011

Maklumat Untuk Dihubungi

Alamat D-60311 Frankfurt am Main
Milano, 20121
Germany
Telefon +44 3535349888

Eksekutif Tinggi

Nama Tajuk Sejak Sehingga
Kurt Livermore - 2023 now
Biografi Kurt Livermore is a Portfolio Manager/Analyst on the Lazard Equity Advantage team. He began working in the investment field in 1997. Prior to joining Lazard in 2023, he was a senior quantitative equity Portfolio Manager with Acadian Asset Management. Previously, Kurt served as a Partner and Portfolio Manager for U.S. and global equity strategies at GlobeFlex Capital, and beforehand was a portfolio manager for U.S. equity market-neutral strategies at FrontPoint Partners/Matikos Capital. Kurt started his career at BGI/BlackRock. He has a B.S. in business administration from the University of Arizona. Kurt is a CFA® charterholder.
Ashok Kumar Muthusamy Portfolio Manager/Analyst 2023 now
Biografi Ashok Kumar Muthusamy is a Portfolio Manager/Analyst on the Lazard Equity Advantage team. He began working in the investment field in 2011. Prior to joining Lazard in 2023, Ashok was a Partner and Senior Quantitative Researcher with Man Numeric. He has a master’s in financial engineering from Columbia University and a bachelor’s in electrical and electronics engineering from PSG College of Technology - India.
George Ssali Portfolio Manager/Analyst 2021 now
Biografi George Ssali is a Portfolio Manager/Analyst on the Equity Advantage team. He began working in the investment field in 2008. Before joining Lazard in 2021, George was a Portfolio Manager and Head of Product Development at Arabesque Asset Management, where he led the design of Paris-aligned equity strategies. Prior to this, George was a Portfolio Manager at Ninety One Asset Management (formerly Investec Asset Management) focusing on risk premia (factor-based) strategies across asset classes. He began his career as a Research Analyst for Macquarie Securities Group. George holds a Master of Finance degree from INSEAD and a BSc. in Electrical Engineering from the University of the Witwatersrand.
Zhan Onayev - 2018 now
Ruihan Liu Portfolio Manager 2016 now
Biografi Ruihan Liu Quantitative Research Analyst Lazard Asset Management LLC (Boston) Ruihan Liu is a Quantitative Research Analyst on Lazard's Equity Advantage team. She began working in the investment field in 2015. Prior to joining Lazard in 2016, Ruihan was an applications developer with Arrowstreet Capital. She has a Master of Science in Mathematical Finance from Boston University and a Bachelor of Science in Physics from Zhejiang University.
Alex Lai Portfolio Manager/Analyst 2011 now
Biografi Alex Lai is a Portfolio Manager/Analyst on Lazard's Quantitative Equity team. He began working in the investment field in 2002. Prior to joining Lazard in 2008, Alex was a Vice President and Quantitative Portfolio Manager in the Global Active Equity group at State Street Global Advisors (SSgA). Prior to that, Alex was an investment-banking analyst at Lehman Brothers Asia in Hong Kong. He has an MSc in Finance from Boston College and a BBA (Hons) in Finance and Accounting from the University of Michigan, Ann Arbor.
Peter Kashanek Portfolio Manager, Analyst 2011 now
Biografi Peter Kashanek Director, Client Portfolio Manager Lazard Asset Management LLC (Boston) Peter Kashanek is a Client Portfolio Manager on Lazard's Quantitative Equity team. He began working in the investment field in 1994. Prior to joining Lazard in 2007, Peter was a Principal and a Portfolio Manager in the Global Active Equity group at State Street Global Advisors (SSgA). Previously, Peter was an investment analyst in the Institutional Equity Research Group at Bank of Montreal where he focused on global energy companies.
Taras Ivanenko Portfolio Manager 2011 now
Biografi Taras Ivanenko, CFA Director, Portfolio Manager/Analyst Lazard Asset Management LLC (Boston) Taras Ivanenko is a Portfolio Manager/Analyst on Lazard's Quantitative Equity team. He began working in the investment field in 1995. Prior to joining Lazard in 2007, Taras was a Senior Portfolio Manager in the Global Active Equity group at State Street Global Advisors (SSgA). Earlier at SSgA, he was a Principal and Senior Application Development Architect in the Equity Systems group. Previously, Taras was an analyst in Quantitative Research and Trading Systems at Oxbridge Research.
Ciprian Marin Director 2011 now
Biografi Ciprian Marin is a Director, Portfolio Manager/Analyst on Lazard's Equity Advantage team. He began working in the investment field in 1997 and joined Lazard in 2008. Education: MBA in Finance, International University of Japan and a BS in International Economics, Academy of Economic Studies Bucharest. Ciprian is a Certified Investment Adviser (UK). He holds FINRA (formerly NASD) Series 7 and JASDA Series 2 registrations. He has managed a portion of the Fund since August 2015.
Jason Williams Portfolio Manager 2011 now
Biografi Jason Williams, CFA UKSIP Senior Vice President, Portfolio Manager/Analyst,a Director of the Investment Manager Lazard Asset Management Limited (London) Jason Williams is a Portfolio Manager/Analyst on Lazard's Quantitative Equity team. He began working in the investment field in 2001. Prior to joining Lazard in 2008, Jason was a Quantitative Portfolio Manager in the Pan European Active Equities group with State Street Global Advisors (SSgA), focusing on model development and performance evaluation. Earlier at SSgA, he was a Portfolio Analyst within Active European Operations.
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