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The Fund pursues the primary investment objective of preserving the value of the funds invested and generating an increase in value in line with money market interest rates. No assurance can be made that the investment policy's objectives will be met. The sub-funds invest exclusively in instruments from issuers with first-class ratings, for which there is a positive ICAP analysis. The sub-funds are standard money market funds with a variable net asset value, also known as VNAV money market funds. Each sub-fund invests at least two thirds of its net assets in the currency listed in its name. It may invest up to a maximum of one-third of its net assets in other currencies, however, the part of the portfolio which is not invested in the respective currency of account must be hedged against the currency risk. The sub-funds may invest up to 10% of their net assets in existing money market funds, unless otherwise defined in the individual sub-funds’ investment policy.
Name | Title | Since | Until |
---|---|---|---|
Robbie Taylor | - | 2022 | Now |
Zieshan Afzal | - | 2020 | Now |
Leonardo Brenna | - | 1989 | Now |
Biography | Leonardo Brenna is responsible for the strategy and management of EUR Money Market, EUR Short term, EUR Investment Grade Credit portfolios, mutual funds as well as segregated mandates at UBS Asset Management. Leonardo is a member of the Euro Corporate Strategy committee as well as the European Fixed Income Strategy committee. Additionally he is a member of the European Money Market committee which sets the strategies for all short duration mandates within EMEA. Leonardo joined the former Union Bank of Switzerland in 1992 to work in the fields of private banking, corporate finance and fixed income asset management. In 1996 he relocated to UBS Luxembourg to take up the position of Portfolio Manager (PM) for UBS money market funds and institutional clients. In 1998 he joined the Fixed Income team in Zurich as a PM. Throughout his career he has been managing money market and bond portfolios in a multitude of currencies and risk classes in the single currency area. | ||
Michael Hitzlberger | - | 1989 | 2022 |
Biography | Michael Hitzlberger heads UBS Asset Management's euro bond team in Zurich and is also responsible for money market investments in EMEA. Michael is a member of the Euro Fixed Income (FI) Strategy Group, which is ultimately responsible for the strategy of Euro FI portfolios. He heads the Euro F ixed Income duration and Sovereign Sub-committees and chairs the bi-weekly Euro Fixed Income meeting. On the money market side, he is responsible for investments of money market funds within EMEA and heads the European Money Market Committee. Upon graduation Michael joined the former Swiss Bank Corporation (SBC) in Luxembourg becoming, in 1991, a Portfolio Manager for bond and money market portfolios. Throughout his career he has managed money market and bond portfolios in a multitude of currencies. He took over responsibility for money market investments at SBC in 1993 and has headed the euro bond team in Zurich since 1999. | ||
Christoph Krücken | - | 2019 | 2020 |
Anna-Huong Findling | - | 2011 | 2019 |
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