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Oct 01, 2012
The investment objective of the Fund is to achieve interest income and long term capital appreciation. The Fund shall seek to attain its investment objective by investing predominantly in corporate debt securities of global issuers denominated in Euro, with a period to maturity of up to five years. Examples of such securities include, but are not limited to, fixed coupon corporate bonds and floating rate corporate bonds. The Investment Manager utilises a combination of a macro top down selection methodology and a bottom up fundamental analysis approach with regard to the selection of such securities – the asset class selection and the rating allocation will follow the top down approach and the security selection (within the selected asset classes and rating allocation) will adopt the bottom up approach. The focus will be on non-financial sector corporate debt securities. The Fund is actively managed.
Name | Title | Since | Until |
---|---|---|---|
Joanna Glöggler | - | 2022 | 2023 |
Tristan Krieger | - | 2019 | 2023 |
Peter Welling | - | 2012 | 2022 |
Michael Lesnik | - | 2016 | 2019 |
Joanna Glöggler | - | 2016 | 2016 |
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