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1290 Vt Smartbeta Equity Esg Portfolio Class Ib (0P0000Z66M)

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20.404 +0.070    +0.37%
26/11 - Delayed Data. Currency in USD
Type:  Fund
Market:  United States
Issuer:  AXA Equitable
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 343.71M
1290 VT SmartBeta Equity Portfolio Class IB 20.404 +0.070 +0.37%

1290 Vt Smartbeta Equity Esg Portfolio Class Ib Overview

 
On this page you'll find an in-depth profile of 1290 Vt Smartbeta Equity Esg Portfolio Class Ib. Learn about the key management, total assets, investment strategy and contact information of 0P0000Z66M among other information.
Category

World Large-Stock Blend

Total Assets

343.71M

Expenses

1.10%

Inception Date

Oct 28, 2013

Investment Strategy

The investment seeks to achieve long-term capital appreciation. Under normal market conditions, the fund invests at least 80% of its net assets, plus borrowings for investment purposes, in equity securities. It invests primarily in equity securities of U.S. companies and foreign companies in developed markets. The fund may invest in large, mid and small capitalization companies and will be broadly diversified across companies and industries. Equity securities in which the fund may invest include common stocks, preferred stocks, warrants, American Depositary Receipts and similar instruments.

Contact Information

Address 1290 Avenue of the Americas
New York,NY 10104
United States
Phone 877-222-2144

Top Executives

Name Title Since Until
Jonathan White Head 2023 Now
Ram Rasaratnam - 2021 Now
Biography Head of Sustainable Equity for Rosenberg Equities and is responsible for Sustainable Equity investment strategy and client outcomes. Prior to this, Ram was Director of Research, Asia. He joined Rosenberg Equities in 2011 after working for AXA IM since 2006 as a member of the Insurance Investment UK equity team. Prior to joining AXA IM, he was a Quantitative Research Associate and Programmer Analyst at Citigroup in London.
Cameron Gray Portfolio Manager 2015 Now
Biography Cameron is the Head of Portfolio Management, Europe. He joined Rosenberg Equities in 2007 as a Portfolio Manager and focused on the Sustainable Equity as well as Dynamic Alpha. Prior to joining AXA IM, Cameron worked at JPMorgan Securities Limited in various roles covering the entire trade cycle from settlements and clearing to execution. Before that he worked at Commonwealth Bank of Australia Limited and Colonial State Bank Limited in various financial roles. Cameron has an MSc in Financial Mathematics from Kings College in London. He also holds a BSc in Advanced Math, Finance and Economics from the University of Sydney.
Kenneth T. Kozlowski Executive Vice President 2013 Now
Biography Kenneth T. Kozlowski, CFP, CLU, ChFC, is the lead portfolio manager and Chief Investment Officer for EIMG LLC. Mr. Kozlowski is a Managing Director of Equitable Life Insurance Company (“Equitable”) and has served as Executive Vice President and Chief Investment Officer of EIMG LLC since June 2012. He has had primary responsibility for the asset allocation, fund selection and rebalancing of Equitable’s funds-of-funds since 2003.
Alwi Chan Portfolio Manager 2013 Now
Biography Alwi Chan, CFA is a Vice President of the Trusts and member of each Trust’s Valuation Committee. He has served as a Lead Director of AXA Equitable and Senior Vice President and Deputy Chief Investment Officer of FMG LLC since June 2012. Mr. Chan assists in portfolio analysis, rebalancing and fund selection. Mr. Chan earned a Bachelor’s degree in Economics from Trisakti University (Indonesia) and an MBA from Tulane University. Mr. Chan holds the Chartered Financial Analyst (CFA) designation.
Gideon Smith Co-Chief Investment Officer 2013 2024
Biography Gideon Smith, CFA® is Co-Chief Investment Officer of AXA IM’s Equity QI expertise. Mr. Smith is responsible for the implementation of all of Equity QI’s investment strategies as well as advanced research and innovation. He was Europe Chief Investment Officer of AXA Rosenberg and oversees the implementation of the SmartBeta Equity strategies. Since joining AXA Rosenberg in 1998, he has held a number of positions including Europe Deputy Chief Investment Officer, Director of Client Services and Head of Strategy Engineering for Europe. Prior to joining AXA Rosenberg, Gideon was a chartered accountant at Arthur Andersen working in their Financial Markets Division in London. Gideon obtained his BSc from Manchester University in 1992 and received his MBA from London Business School in 2000. He is a holder of the Chartered Financial Analyst designation.
Harry Prabandham Deputy CIO 2015 2021
Biography Harry Prabandham is the Deputy Chief Investment Officer for the Americas region and joined Rosenberg Equities in 2007 as a portfolio manager in the strategy engineering group, bringing with him a strong background in both computer programming and quantitative financial modeling. He then moved to the role of deputy chief investment officer. Before joining Rosenberg Equities, he held several positions at technology firms in programming and mergers, and acquisitions. Harry Prabandhamis Head of Multi-Factor Strategies. Mr. Prabandham joined Rosenberg Equities in 2007 as a portfolio manager in the strategy engineering group. He has a background in both computer programming and quantitative financial modeling.
Anubhuti Gupta Director 2018 2021
Biography Anubhuti Gupta is a Director of Asia and Head of Portfolio Management for the Asia region and has held this position since 2018. Prior to this, she was the Pan Asia Deputy Chief Investment Officer at Rosenberg Equities from 2015 to 2018. Ms. Gupta joined AXA IM in 2005 as a Portfolio Manager.
Will Jump Trader 2013 2019
Biography Will has been with AXA Rosenberg since 1990 when he first joined the firm as a trader and portfolio engineer. During his tenure with AXA Rosenberg, Will has held a number of positions including director of market neutral strategies, director of global product strategy, chief technology officer, and Europe chief executive officer. Prior to his current role, he was a senior research director at AXA Rosenberg. Before coming to AXA Rosenberg, Will was a research coordinator at Hull Trading Co. in Chicago and an options market maker and software developer for HZN Options Partners in Chicago. Will obtained a BA from Swarthmore College in 1977, and an MBA from the Wharton School at the University of Pennsylvania in 1983. He is a holder of the Chartered Financial Analyst designation.
Kevin Chen Pan Asia Pacific CIO 2013 2018
Biography Kevin joined AXA Rosenberg Investment Management in 1999 and has been appointed Pan Asia Pacific chief investment officer, effective May 25, 2010. Before his current role, Kevin served as portfolio engineer, America’s deputy chief investment officer, and Asia Pacific Chief Investment Officer. Prior to joining the firm, he was a summer associate with AON Corporation in Chicago; a research assistant for the Catholic University of America in Washington, DC; and a journalist, director, and producer in Haikou, China. Kevin obtained a BS from Zhejiang University in China and an MS from the Catholic University of America. He earned an MBA from the University of Chicago Graduate School of Business and is a holder of the Chartered Financial Analyst designation.
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