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2.17B
0.12%
Mar 30, 2010
the Investment objective of the fund is to increase the value of your investment, through income and investment growth. The Fund invests at least two-thirds of its net assets in a diversified portfolio of bonds and other debt securities linked to local emerging debt.
Name | Title | Since | Until |
---|---|---|---|
Ali Bora Yigitbasioglu | Senior Investment Manager | 2023 | Now |
Biography | Ali Bora Yigitbasioglu joined Pictet Asset Management in 2019 and is a Senior Investment Manager in the Emerging Market Debt team responsible for global emerging market debt and Asian debt portfolios based in Singapore. Prior to assuming his current role, Ali was a Senior Investment Manager for the Total Return Fixed Income team. Before joining Pictet he was Senior Portfolio Manager in Global Macro at Cambridge Strategy Asset Management in Monaco, responsible for FX and Rates and specialising in Asian markets. Ali graduated in Pure and Applied Maths at Cambridge University, and continued his graduate studies with Distinction at Imperial College in Finance and at Bilkent University in Finance and Econometrics. He completed his PhD in Mathematical Finance at ICMA Centre (Reading) and started his career in London at Lehman Brothers in 2004 as an FX Quantitative Analyst. From 2006 until 2010 he was an EM local rates, and a Hybrid Exotics trader at Lehman Brothers and Dresdner Kleinwort respectively. | ||
Carrie Liaw | Senior Investment Manager | 2023 | Now |
Biography | Carrie Liaw joined Pictet Asset Management in 2015 and is a Senior Investment Manager responsible for global emerging market debt and Asian debt portfolios based in Singapore. Before joining Pictet Carrie was with the Monetary Authority of Singapore for 15 years and worked in different investment divisions within the Reserve Management Department, including heading up the European Rates and FX divisions. Carrie holds a Bachelor of Business (Hons) in Financial Analysis from Nanyang Technological University, Singapore. She is also a Chartered Financial Analyst (CFA) charterholder. | ||
Adriana Cristea | Portfolio Manager | 2023 | Now |
Biography | Adriana Cristea joined Pictet Asset Management in April 2018 and is an Investment Manager for global emerging market debt portfolios. Before taking up her current position in 2020, Adriana was a Macro Strategist in the team. Prior to joining Pictet, Adriana spent six years at DG Partners, a global macro Hedge fund, as a Senior Global Macro Research Analyst and Strategist focusing on Emerging Markets Forex, Rates and Credit strategies. Adriana holds a BSc in Financial Management from the University of Essex and a MSc in Finance from the University of Warwick. She also holds the Investment Management Certificate (IMC). | ||
Alper Gocer | Head of Emerging Market Sovereign Debt | 2018 | Now |
Biography | Alper Gocer joined Pictet Asset Management in 2016 and is Head of Emerging Market Sovereign Debt and is lead of our Emerging Local Currency Debt strategies. Prior to joining the team in 2018, he was a Senior Investment Manager in the Total Return Emerging Markets team. Before joining Pictet, Alper was a Portfolio Manager at London Diversified Fund Management within the Global Macro Fund. Prior to LDFM, Alper was a Portfolio Manager at North Asset Management focused on Global Macro trading mainly in Emerging Markets. He began his career as a Quantitative Analyst at Citigroup. Alper has a Masters in Finance from the London Business School and a BSc. in Industrial Engineering from Bilkent University. | ||
Mary-Therese Barton | Head of Emerging Market Fixed Income | 2018 | 2023 |
Biography | Mary-Therese Barton joined Pictet Asset Management in 2004 and is Head of Emerging Market Fixed Income, overseeing the Emerging Market Sovereign, Corporate and Greater China debt strategies. Prior to joining Pictet she worked at Dun & Bradstreet, where she was an economist responsible for analysing European countries. Mary-Therese graduated with a BA (Hons) in Philosophy, Politics and Economics from Balliol College, Oxford. She also holds an MSc with distinction in Development Finance from the Centre for Financial Management Studies, SOAS (School of Oriental and African Studies), part of the University of London. Mary-Therese is also a Chartered Financial Analyst (CFA) charterholder. | ||
Simon Lue-Fong | Senior Portfolio Manager, Head | 2006 | 2018 |
Biography | Lue-Fong joined PAM Ltd. in 2005 as a Senior Investment Manager and Head of Global Emerging Debt with responsibility for investment management, product development and client relations. Before joining PAM Ltd., he worked for Standard Asset Management (2004-2005) and INVESCO (2000-2003) as a Senior Investment Manager in their respective Emerging Markets Debt teams. Between 1996 and 2000, Lue-Fong was an Investment Manager and then Head of Emerging Market Debt at Fischer Francis Trees & Watts. Mr. Lue-Fong graduated from Bournemouth University with a BA (Hons) degree in Finance. | ||
Rajeev de Mello | Head | 2006 | 2009 |
Biography | Rajeev De Mello - Head of Asian Fixed Income - Head of Asian Fixed Income, based in Singapore - Joined Schroders in July 2011 - Previously worked at Western Asset Management as Senior Investment Officer, Country Head of Singapore, and member of the Global Investment Strategy Committee. - Prior to that, he was Head of Asian Fixed Income at Pictet Asset Management. Until 2005, he was Head of Fixed Income with specific responsibilities for European bonds and Global bonds. He joined Pictet in 1999 to manage European aggregate bond strategies. - Other positions held include Head of Asian Bond Trading at UBS (Warburg Dillon Read) Hong Kong, Consultant at McKinsey & Company and Trader in currencies and precious metals options at United Overseas Bank (BNP) and Credit Suisse First Boston. - Investment career commenced in 1987 - MBA, Georgetown University - Bachelor of Science in Economics (Honors), London School of Economics |
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