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Aviva Investors - Global Investment Grade Corporate Bond Fund I Usd Acc (0P00016SQB)

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126.162 +0.150    +0.12%
21/11 - Closed. Currency in USD
Type:  Fund
Market:  Luxembourg
Issuer:  Aviva Investors Luxembourg SA
ISIN:  LU1220879487 
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 6.33B
Aviva Investors Global Investment Grade Corporat 126.162 +0.150 +0.12%

Aviva Investors - Global Investment Grade Corporate Bond Fund I Usd Acc Overview

 
On this page you'll find an in-depth profile of Aviva Investors - Global Investment Grade Corporate Bond Fund I Usd Acc. Learn about the key management, total assets, investment strategy and contact information of 0P00016SQB among other information.
Category

Global Corporate Bond - USD Hedged

Total Assets

6.33B

Expenses

0.54%

Inception Date

May 11, 2015

Investment Strategy

To earn income and increase the value of the Shareholder’s investment, while outperforming the Benchmark over the long term (5 years or more).

Contact Information

Address PO Box 1375
Grand Duchy of Luxembourg, L-1013 Luxembou
United Kingdom
Phone (352) 40 28 20 261
Fax (352) 49 23 69

Top Executives

Name Title Since Until
Justine Vroman - 2022 Now
Biography Justine previously worked at Pictet Asset Management as a Senior Investment Manager. She was lead Portfolio Manager on a number of Credit Investment Grade and Crossover strategies, including a Global Sustainable Credit fund. She additionally contributed to the development of a proprietary ESG framework. Justine holds a Master’s in Management from EDHEC Business School (France) and an MSc in Finance from the University of Strathclyde (UK). She is also a Certified International Investment Analyst (CIIA).
James Vokins - 2021 Now
Biography James is heading the UK Investment Grade Credit team. He responsible for the fund management of a number of the Aviva Investors bond funds, investing in investment-grade corporates, high-yield corporates, government, and emerging market debt. James manages the Aviva Investors’ Corporate Bond Fund, Strategic Bond Fund, Higher Income Plus, Monthly Income Plus, Managed High Income, and the Distribution Fund. During 2013 the Aviva Investors Managed High Income Fund was awarded the Lipper Fund award within the Bond-Global High Yield category. In 2014 the Aviva Investors Strategic Bond Fund was the winner of the Investment Advisor 100 club Sterling Strategic Bond Fund of the year. Prior to joining Aviva Investors, James worked for JP Morgan’s Debt Capital Markets team. He holds a degree in Business Administration from the University of Bath and the Investment Management Certificate. He is also a CFA® charterholder.
Chris Higham credit Researcher 2023 2024
Biography Chris oversees a range of bond funds which invest across fixed-income assets, including investment-grade corporates, high-yield corporates, government, and emerging markets bonds. During 2013 the Aviva Investors Managed High Income Fund was awarded the Lipper Fund award within the Bond-Global High Yield category. In 2014 the Aviva Investors Strategic Bond Fund was the winner of the Investment Advisor 100 club Sterling Strategic Bond Fund of the year. Chris has managed the Strategic Bond Fund since its inception in 2008. Prior to joining Aviva Investors, Chris worked as a portfolio manager for Old Mutual Asset Managers. He joined the industry as a credit analyst. Chris graduated from Durham University with a BA (Hons) in economics. He is an associate member of the UK Society of Investment Professionals and is a CFA® charterholder.
Jonathan Manning PORTFOLIO MANAGER 2021 2022
Biography JONATHAN MANNING, CFA Main responsibilities Jonathan is a portfolio manager within the Aviva Investors Global Investment Grade Credit team focussing on global relative value with particular inputs to the flagship vehicle the Aviva Investors Global Investment Grade Bond Fund. Experience and qualifications Jonathan has been with the team since 2017. Prior to this, he was an investment director focused on multi-asset and fixed income strategies. Before joining Aviva Investors he worked at P-Solve Meridian advising General Insurance companies of all aspects of their investment portfolios. His career in the investment industry began with a trainee scheme at HSBC Global Asset Management, which he joined after leaving university. Jonathan holds a Bachelor’s degree in Management from Manchester Business School and is also a CFA® charterholder.
Joshua Lohmeier - 2015 2021
Biography JOSH LOHMEIER, CFA Senior Vice President Portfolio Manager Investment Grade Franklin Templeton Fixed Income Franklin Templeton Chicago, Illinois, United States Josh Lohmeier is a senior vice president of Franklin Templeton Fixed Income - Investment Grade, Chicago, Illinois, United States. Mr. Lohmeier is a portfolio manager for all investment grade strategies. Mr. Lohmeier has more than 22 years of experience in financial services, including 17 years as a portfolio manager. Prior to his current role, Mr. Lohmeier was head of investment grade credit and an investment officer at Aviva Investors. He also worked for AllianceBernstein as an investment grade portfolio manager and was assistant vice president of investments and investment grade portfolio manager at American Equity Investment Life Insurance Company. In addition, he has held analyst positions at Wells Fargo Financial and RSM McGladrey. Mr. Lohmeier holds a bachelor's degree in finance from the University of Northern Iowa. He is a Chartered Financial Analyst (CFA) charterholder. He is also pursuing a master's degree in data science at Northwestern University
Jethro Goodchild - 2015 2018
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