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Fidelity Funds - Global Corporate Bond Fund A-acc-eur (0P0000VZBC)

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13.860 -0.020    -0.14%
16/05 - Closed. Currency in EUR ( Disclaimer )
  • Morningstar Rating:
  • Total Assets: 23.43M
Type:  Fund
Market:  Luxembourg
Issuer:  Fidelity (FIL Inv Mgmt (Lux) S.A.)
ISIN:  LU0532243267 
Asset Class:  Bond
Fidelity Funds Global Corporate Bond Fund A Acc 13.860 -0.020 -0.14%

0P0000VZBC Overview

 
On this page you'll find an in-depth profile of Fidelity Funds - Global Corporate Bond Fund A-acc-eur. Learn about the key management, total assets, investment strategy and contact information of 0P0000VZBC among other information.
Category

Global Corporate Bond

Total Assets

23.43M

Expenses

1.04%

Inception Date

May 09, 2012

Investment Strategy

The fund aims to achieve capital growth over time and provide income. The fund invests at least 70% of its assets, in investment grade corporate debt securities from anywhere in the world, including emerging markets. The fund may also invest in government and other debt securities and on an ancillary basis money market instruments. The fund invests at least 50% of its assets in securities of issuers with favourable environmental, social and governance (ESG) characteristics. The fund may invest less than 30% in hybrids and contingent convertible bonds (CoCos) with less than 20% in CoCos. The fund may also invest in subordinated financial debt and preference shares.

Contact Information

Address Centro Empresarial VEGA NORTE, Edificio 3
Kronberg im Taunus,Madrid 61476
Germany
Phone + 49 (0) 800 000 65 66
Fax + 352 26 38 39 38

Top Executives

Name Title Since Until
Shamil Gohil Portfolio Manager 2023 Now
Ian Robert Fishwick Portfolio Manager 2020 Now
Biography Ian Fishwick joined Fidelity as a Portfolio Manager in 2007. He has over two decades of investment experience, the majority of which have been managing Sterling bond funds. Ian was previously Head of UK Fixed Income at Credit Suisse Asset Management and prior to that Chief Executive and CIO of SLC Asset Management. Ian holds a BA Hons in Mathematics and Physics from the University of Cambridge.
Kristian Atkinson Portfolio Manager 2019 Now
Rick Patel Co-Manager 2019 2020
Biography Rick Patel is a fixed income portfolio manager in Fidelity’s London office. He specialises in global and regional fixed income products, and was a quantitative analyst and key member within the fixed income team for five years prior to moving into an associated portfolio manager role in 2005. After two years, he was promoted to portfolio manager at FIA(UK).
Ario Emami Nejad Fixed Income Graduate 2019 2020
Biography Ario Emami Nejad joined Fidelity International in 2010, since then he has worked as a Fixed Income Graduate, Fixed Income Trader, and a portfolio manager.
Peter Khan Portfolio Manager 2016 2019
Biography "Peter Khan is Portfolio Manager of Fidelity’s US High Yield, Global High Yield and Total Return Credit (Multi-Asset Credit and Global Income) strategies. Peter joined Fidelity in 2000 as a trader and was promoted to Head of Trading in 2003. Peter became a portfolio manager in 2009 and is a lead or co-manager for a number of global fixed income portfolios, including Fidelity’s US High Yield, Global High Yield and Global Income strategies. Peter is a key member of both Fidelity’s High Yield and Unconstrained Bond strategy teams. Prior to Fidelity, he was with Bayerische Hypo-und-Vereinsbank as the Head of Trading of the London Eurobond desk."
Kristian Atkinson Portfolio Manager 2016 2019
Andy Weir Director 2010 2016
Biography Andy Weir is a Director of Quantitative Research and international bond portfolio manager for Fidelity International (FIL) in London. Prior to joining Fidelity in 1997, he worked in fixed-income research at JP Morgan and as a research analyst in the Semiconductor Physics Department, Oxford University. Mr. Weir received a Bachelor of Engineering degree with honours from Nottingham University, and has also earned his Investment Management Certificate.
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