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Rubrics Global Ucits Funds Plc - Rubrics Emerging Markets Fixed Income Ucits Fund D Usd (0P0000PVBG)

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123.970 -0.380    -0.31%
23/12 - Closed. Currency in USD
  • Morningstar Rating:
  • Total Assets: 1.47M
Type:  Fund
Market:  Ireland
ISIN:  IE00B64S7Y42 
Asset Class:  Bond
Rubrics Emerging Markets Fixed Income UCITS Fund C 123.970 -0.380 -0.31%

0P0000PVBG Overview

 
On this page you'll find an in-depth profile of Rubrics Global Ucits Funds Plc - Rubrics Emerging Markets Fixed Income Ucits Fund D Usd. Learn about the key management, total assets, investment strategy and contact information of 0P0000PVBG among other information.
Category

Global Emerging Markets Bond - Local Currency

Total Assets

1.47M

Expenses

2.09%

Inception Date

Mar 18, 2010

Investment Strategy

The Sub-Fund’s investment objective is to achieve positive total returns and long-term capital appreciation by investing primarily in global emerging market fixed income securities. The Sub-Fund will aim to generate positive returns by building a diversified portfolio of transferable securities, bonds and other fixed income securities. The portfolio will primarily be comprised of securities issued by either government or corporate entities located within emerging markets or listed on a Recognised Exchange in developed markets and the issuer is in an emerging market.

Contact Information

Address Dublin 2, D02 NV30,Ireland
Dublin,Dublin D02 NV30
Ireland
Phone -

Top Executives

Name Title Since Until
Eamonn Buckley Portfolio Manager 2023 Now
Biography Eamonn Buckley Portfolio Manager—Fixed Income Eamonn Buckley is an Associate Vice President and Portfolio Manager for Fixed Income, focusing on euro and sterling investment-grade credit and multi-sector portfolios. He joined the firm in 2010 and assumed the role of portfolio manager in January 2015. Buckley has also worked within AB as an associate portfolio manager on the European Credit and Global Multi-Sector teams, and as a trader of euro- and sterling-denominated government and corporate bonds. He holds a BSc in finance from University College Cork and an MSc in investment management from Cass Business School. Location: London
James Galvin - 2017 Now
Steven O'Hanlon - 2010 Now
Biography Steven is the Chief Investment Officer (CIO) of Rubrics Asset Management. In addition to his senior portfolio management duties, Steven oversees the continuing development of the core investment management processes and strategies of the business. Steven was responsible for the design and development of the investment process and product offerings of the Rubrics Global UCITS Funds in 2001. Since then he has overseen the launch of each of the funds within the product suite. Prior to 2001, Steven worked with Millennium Asset Management in the development of a fully integrated asset management business. He also worked as a trader and investment manager for the Equinox Cross Market Arbitrage Fund where his focus was on the development of its quantitative strategies and trade execution. Steven is a graduate of Trinity College Dublin where he received a BBS in Finance. Steven also received an MBS in quantitative finance from the Michael Smurfit Graduate School of Business. As part of his MBS studies Steven was one of the first in the hedge fund industry to undertake an academic thesis on the quantitative and qualitative analyses of strategies.
Killian Fitzgerald - 2018 2024
Janaka Ariyasena - 2022 2023
Biography Janaka is a portfolio manager of the Rubrics Global Credit UCITS Fund. His main responsibility consists of monitoring existing holdings and generating new ideas and executing on them across the fund range. His approach is to encapsulate fundamental, technical and behavioural factors when analysing credits. He places a great emphasis on utilising technology to improve the execution and monitoring of the portfolios. Prior to joining Rubrics Asset Management in 2017, Janaka gained 6 years of Fixed Income experience on the sell-side. He worked in Debt Capital Markets, Debt Syndication and Credit Sales at Canaccord Genuity and Numis Securities. He was instrumental in growing the respective Fixed Income franchises at both firms. Before this, he was a Mid Cap Stock Research Analyst at Collins Stewart. Janaka qualified as a Chartered Accountant from PricewaterhouseCoopers LLP (“PwC”), within the Investment Management and Insurance Division then subsequently the Valuations Practice at PwC. He completed a Bachelor of Engineering in Computing at Imperial College, London.
Matthew Barnes credit asset manager 2010 2022
Biography Matthew joined Arbion in September 2022 and is the firm’s Fixed Income Credit Portfolio Manager.   He has 25 years of industry experience, having worked for both investment banks and asset managers.  Prior to joining Arbion, Matthew managed the Rubrics Global Credit UCITS Fund for over 10 years. Over the years, Matthew has invested across the credit spectrum in a wide variety of global multi-currency bond issuers across the debt-capital structure, spanning a diverse breadth of industries.  He has also invested in G7 sovereign debt and quasi-sovereign issuers. Matthew is a Chartered Financial Analyst and has Bachelor of Commerce and Bachelor of Laws degrees from the University of New South Wales (Australia).
Daniel Moreno - 2014 2017
Biography "Daniel Moreno, Head of Global Emerging Market Debt within Mirabaud Asset Management, started his career at Dresdner Kleinwort Benson in Frankfurt as a fixed income and currency strategist, before moving to Deutsche Bank in 2000 as portfolio manager. He has experience in emerging market debt investments since 1997. Prior to joining Mirabaud Asset Management in November 2017, Daniel was Head of Emerging Market Debt at Rubrics Asset Management. He has held senior portfolio manager positions at Deutsche Bank & Union Investment in Frankfurt as well as Global Evolution and Sydbank in Denmark, where in 2011, he was part of the spin-off of the senior Emerging Market debt team into a newly created business called Emerging Market Quest. Daniel Moreno holds a European Masters degree in Management, a Business Administration degree and has also attended the INSEAD Executive Programme.
Alia Yousuf Portfolio Manager 2010 2014
Biography Alia has over 19 years of emerging markets experience, managing across the asset class in local currency rates, hard currency sovereign and corporate securities and EMFX. Most recently Alia was a senior macro portfolio manager at UBS Asset Management and INGIM based in Singapore before that. As the head of EMD, she was involved in business and product development for the Fixed Income team. Alia holds a BSc and MSc in Econometrics and Economics, respectively, from the London School of Economics and is a CFA Charter holder.
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