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Nyli Cbre Global Infrastructure Class I (0P0000YG2F)

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13.120 +0.060    +0.46%
07:00:00 - Delayed Data. Currency in USD
  • Morningstar Rating:
  • Total Assets: 734.57M
Type:  Fund
Market:  United States
Issuer:  Voya
Asset Class:  Equity
Voya CBRE Global Infrastructure Fund Class I 13.120 +0.060 +0.46%

0P0000YG2F Overview

 
On this page you'll find an in-depth profile of Nyli Cbre Global Infrastructure Class I. Learn about the key management, total assets, investment strategy and contact information of 0P0000YG2F among other information.
Category

Infrastructure

Total Assets

734.57M

Expenses

0.97%

Inception Date

Jun 28, 2013

Investment Strategy

The investment seeks total return. The fund invests at least 80% of its net assets (plus borrowings for investment purposes) in securities issued by infrastructure companies. The Sub-Adviser expects to invest primarily in equity securities of companies located in a number of different countries, including the United States. The fund invests primarily in common stock, but may also invest in other equity securities including preferred stocks, convertible securities, rights or warrants to buy common stocks, and depositary receipts with characteristics similar to common stock.

Contact Information

Address 51 Madison Avenue
New York,NY 10036
United States
Phone +1 212 9386500
Fax 212-938-8181

Top Executives

Name Title Since Until
Joseph P. Smith Co-CIO, Listed Real Asset Strategies 2021 Now
Biography Mr. Smith has managed the MainStay CBRE Global Infrastructure Megatrends Fund since 2021 and the MainStay CBRE Global Infrastructure Fund since 2021. He joined CBRE's predecessor firm in 1997. Prior to that, Mr. Smith worked in various management and analyst positions in the real estate industry including positions at Alex Brown & Sons, PaineWebber and Radnor Advisors. Mr. Smith has over 29 years of real estate investment management experience. He has his B.S. from Villanova University and his M.B.A. from the Wharton School, University of Pennsylvania. He is also a CFA charterholder.
Daniel Foley Portfolio Manager 2019 Now
Biography Daniel Foley is a Portfolio Manager and, as a member of the firm's Listed Real Assets Securities Global Infrastructure Research Team, is responsible for evaluating listed infrastructure companies in the communications sector globally, as well as the transportation and utilities sectors in the Americas region. Dan joined the business’s predecessor firm in 2006 and has over 15 years of financial industry experience. In his tenure with CBRE Investment Management and its predecessor firm, Mr. Foley has gained extensive, multi-disciplined experience evaluating real asset securities spanning developed and emerging markets across the globe. He has been an active member of the firm’s Global Infrastructure research team since its inception. During Dan’s long tenure with the firm he has covered wide-ranging business models. In his time as a Senior Analyst within the real estate team he worked along-side both the Americas and Asia-Pacific based groups covering core real estate sectors such as retail and multi-family to homebuilders and niche real estate sectors. The experience of rigorous cash flow modeling, fundamental analysis, management interaction, site visits and board level interaction, along with a global perspective and cross-discipline background translated well into the needs of the Infrastructure team. Dan’s role on the infrastructure team has also evolved as he has taken on a growing set of responsibilities through time. He has taken an active role helping facilitate interaction with the private infrastructure team in Toronto, been instrumental in the development of tools used by team, offers leadership and guidance to members of the team, provides backup support to run weekly investment team meetings. As a Portfolio Manager, he works closely with Jeremy Anagnos and Hinds Howard in implementing portfolio construction and interfacing with the market. Credentials – Chartered Financial Analyst (CFA) – Member of the Edison Electric Institute (EEI) Education – M.B.A., Villanova University, 2012 – B.S., Drexel University, 2004 (magna cum laude)
Hinds Howard Portfolio Manager 2019 Now
Biography Hinds Howard is a Portfolio Manager and, as a member of the firm's Listed Real Assets Infrastructure research team, is responsible for evaluating listed energy infrastructure companies in North America, evaluating listed transportation companies in North America, and coordinating research of listed transportation companies globally. Hinds joined CBRE Investment Management in 2013. Prior to that, he was a portfolio manager and partner at Guzman Investment Strategies. While at Guzman Investment Strategies. In that role, he managed individual and institutional client portfolios investing in listed energy infrastructure securities, including MLPs. Hinds previously worked at Lehman Brothers analyzing and modeling public and private energy infrastructure companies, first in the investment banking division and subsequently for an investment fund within the private equity division, based in New York and Houston. Hinds has over 17 years of listed North American energy investment experience. Hinds is a native of Houston, TX. He has presented at energy infrastructure conferences as a speaker and panelist on the topic of MLPs and energy infrastructure companies, including at the Platts MLP Conference, the OPIS Supply Conference, and the PWC MLP User Conference. From 2009 through 2021, he published a widely read free weekly update on the MLP market at mlpguy.com. Credentials – Member of Master Limited Partnership Association (MLPA) Education – M.B.A., Babson College, 2010 – B.S., Boston University, 2004 (summa cum laude, finance)
Jeremy Michael Anagnos Chief Investment Officer, Infrastructure 2013 Now
Biography Jeremy Anagnos is the CIO – Listed Infrastructure Strategies and a member of the CBRE Investment Management Senior Leadership Council, and the Listed Real Assets Management and Global Investment Policy Committees. Prior to the merger with ING's listed real assets business in 2011, Jeremy served as Co-Chief Investment Officer of the firm's securities team, responsible for portfolio management of global real estate securities separate accounts and funds. Jeremy was a founder of the securities group at CBRE and assisted in raising over $3 billion in assets as well as overseeing the global 28 member investment and operations team. During his career, Jeremy has worked in various management and research positions in the real estate industry with LaSalle Investment Management in Baltimore/Amsterdam and Deutsche Bank in London. Jeremy has over 23 years of real estate investment management experience. Credentials – Chartered Financial Analyst (CFA) – Founding Member of Global Listed Infrastructure Organization (GLIO) – Member of the Edison Electric Institute (EEI) – Member of Master Limited Partnership Association (MLPA) – Advisory Board Member IREI Infrastructure Education – B.S. Boston College, 1995 (cum laude, finance)
T. Ritson Ferguson Co-CIO, Listed Real Asset Strategies 2013 2021
Biography Ritson Ferguson is Vice Chairman of the firm’s Listed Real Assets business. He is a member of the Listed Real Assets Management Committee, Global Investment Committee and is also a member of the Global Investment Committee for the firm’s listed real assets and private infrastructure businesses. Between 2015 and 2019, Ritson served in global roles for CBRE Investment Management, first as Global CIO and then as Global CEO. During his tenure as Global CEO of the firm, Ritson accomplished several key initiatives, including the acquisition of the firm's private infrastructure business.
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