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Wellington Opportunistic Emerging Market Debt Ii Fund Eur S Q1 Dih (0P0000WYMY)

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6.760 +0.040    +0.58%
25/11 - Closed. Currency in EUR
  • Morningstar Rating:
  • Total Assets: 706.87M
Type:  Fund
Market:  Luxembourg
Issuer:  Wellington Management Company LLP
ISIN:  LU0629164780 
Asset Class:  Bond
Wellington Opportunistic Emerging Market Debt II F 6.760 +0.040 +0.58%

0P0000WYMY Overview

 
On this page you'll find an in-depth profile of Wellington Opportunistic Emerging Market Debt Ii Fund Eur S Q1 Dih. Learn about the key management, total assets, investment strategy and contact information of 0P0000WYMY among other information.
Category

Global Emerging Markets Bond - EUR Biased

Total Assets

706.87M

Expenses

0.67%

Inception Date

Oct 15, 2012

Investment Strategy

The investment objective of the Fund is to seek long-term total returns in excess of the JP Morgan Emerging Markets Bond Index Global ex CCC (the “Index”), primarily through investment in a diversified portfolio of emerging markets debt securities and currency instruments. The Investment Manager will actively manage the Fund using an investment approach that seeks to take advantage of opportunities across the emerging markets debt securities spectrum, including hard currency (commonly referenced as bonds denominated in USD or other developed market currencies) and local currency denominated sovereign, quasi-sovereign, and corporate debt, currencies and derivatives.

Contact Information

Address 33, Avenue de la Liberté
Luxembourg, L-1931
Luxembourg
Phone -

Top Executives

Name Title Since Until
Schuyler Reece Fixed Income Portfolio Manage 2021 Now
Biography Schuyler S. Reece, CFA Managing Director and Fixed Income Portfolio Manager As a portfolio manager, Schuyler works closely with our Emerging Markets Debt Team to develop investment strategy, with a focus on Emerging Markets Corporate debt. Prior to this role, Schuyler worked as a fixed income portfolio manager on the Investment Grade Credit Team where he focused on Emerging Market credit opportunities across stand-alone US Corporate, US Core Bond Plus, Core Bond, Long Bond, and Intermediate Bond portfolios. Prior to joining Wellington Management in 2014, Schuyler worked at GW&K Investment Management in Boston, Massachusetts, most recently as a portfolio manager (2012 – 2014) and a portfolio assistant (2011 – 2012) on the Taxable Bond Team. Prior to that, he worked in both GW&K’s client service and investment operations departments (2007 – 2011). Schuyler earned a BA in classical studies from the University of Pennsylvania (2007). Additionally, he holds the Chartered Financial Analyst designation and is a member of the CFA Institute and the CFA Society Boston.
Evan J. Ouellette Portfolio Manager 2017 Now
Biography Evan J. Ouellette Managing Director and Fixed Income Portfolio Manager As a portfolio manager at Wellington Management, Evan focuses on strategy implementation and portfolio construction for the Emerging Markets Debt Investment Team. Prior to his current role, Evan was a fixed income portfolio analyst, and before that, a team lead within Trade Operations, which involved redesigning the firm’s external trade messaging platform. He also spent time in the London office during 2007 – 2008 to help globalize various functions within Investment Administration. Before joining the firm in 2001, Evan worked as regional controller in the global custody division of BNY-Mellon Corporation (1999 – 2001). Evan earned his MBA with a concentration in finance from Boston University (2009) and his BA from the College of the Holy Cross (1999).
Kevin F. Murphy Portfolio Manager 2017 Now
Biography Kevin Murphy Managing Director and Fixed Income Portfolio Manager As a portfolio manager, Kevin works with our Emerging Markets Debt Investment Team to develop investment strategy in the sector. Kevin joined Wellington Management in 2016. Prior to that, he worked at Putnam (1999 – 2016), BancBoston (1996 – 1999) and at ING Baring Securities in New York City (1991 – 1996). Kevin received his BS in electrical engineering from Columbia University’s School of Engineering and Applied Science (1987).
Jim W. Valone Portfolio Manager 2012 2021
Biography James W. Valone, CFA Senior Managing Director, Partner, and Fixed Income Portfolio Manager Jim has been a portfolio manager and chair of Wellington Management’s Emerging Markets Debt Team since its inception in 1999. He and his team manage portfolios invested in the emerging debt and currency markets for a wide range of investors — including pension funds, mutual funds, endowments, and central banks — focusing on the integrity of our fixed income investment processes and achieving the investment goals of our clients. In addition, he leads our Fixed Income Risk Advisory Council efforts and is an important member of the Fixed Income Review Group, where he has significant impact providing peer feedback to other fixed income investors. Prior to joining the firm in 1999, Jim was an emerging markets debt portfolio manager at Baring Asset Management (1997 – 1999). He also worked at Fidelity Investments as an emerging markets debt portfolio manager and regional analyst covering Latin America (1989 – 1997) and at Northwest Quadrant, Inc. in Newport Beach, California, where he was a portfolio manager (1985 – 1987). Jim received his MBA from the University of Chicago (1989) and his BA in economics from Pomona College (1985). Additionally, he holds the Chartered Financial Analyst designation.
Eric R. Lambi - 2013 2017
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