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The Sub-Fund is actively managed and targets better returns than its benchmark, the Bloomberg Euro Aggregate Index, by investing in a portfolio of investment grade-rated fixed income securities while taking into account ESG considerations. There are no restrictions on the extent to which the Sub-Fund's portfolio and performance may deviate from the ones of the benchmark. As part of the investment process, the Investment Manager has full discretion over the composition of the Sub-Fund's portfolio and may take exposure to companies, countries or sectors not included in the benchmark.
Name | Title | Since | Until |
---|---|---|---|
Neil Mehta | - | 2022 | Now |
Biography | Neil is a Portfolio Manager within BlueBay's Investment Grade team, with a particular focus on the government and aggregate strategies. Neil joined BlueBay Asset Management (which is now part of RBC Global Asset Management) in July 2016, and spent the first part of his tenure in Investment Communications before moving to his current role in January 2019. Prior to BlueBay, Neil worked at IHS Markit where he was a Fixed Income Analyst. He holds a BSc in Mathematics & Business Management from the University of Birmingham and a MSc in International Securities, Investment and Banking from the University of Reading. | ||
Kaspar Hense | Portfolio Manager | 2016 | Now |
Biography | Kaspar joined BlueBay Asset Management (which is now part of RBC Global Asset Management) in August 2014 and is a BlueBay Senior Portfolio Manager within the Investment Grade team. Prior to joining BlueBay, Kaspar worked for three years at Toronto Dominion Securities, in their global fixed income, capital markets group covering German clients. Previously, Kaspar spent six years with Deutsche Asset and Wealth Management where he was responsible for the global aggregate bond strategy. Kaspar began his career at Merrill Lynch in 2005 as an analyst. He holds a Master's Degree in | ||
Mark Dowding | Co-Head | 2010 | Now |
Biography | Mark is Chief Investment Officer for BlueBay fixed income. He has over 29 years' investment experience as a macro fixed income investor and has been a senior BlueBay portfolio manager since he joined in August 2010. As a macro risk taker, Mark actively pursues an open dialogue with policy makers and opinion formers, believing that proprietary research is key to gaining insights to generate strong investment returns. Prior to joining the firm, Mark was Head of Fixed Income in Europe for Deutsche Asset Management, a role he previously occupied at Invesco. He started his career as a fixed income | ||
Russel Matthews | Portfolio Manager | 2011 | 2018 |
Biography | Russel is the lead portfolio manager for BlueBay's global macro strategy. He joined BlueBay Asset Management (which is now part of RBC Global Asset Management) in September 2010 as a Portfolio Manager responsible for the firm's European government and aggregate bond portfolios. Prior to BlueBay, he worked at Invesco Asset Management from 2000 to 2010, where he was responsible for managing multi-currency global fixed income portfolios for retail and institutional clients. He was also Co-Head of Global Alpha (ex US). Prior to joining Invesco, Russel worked at Citigroup Asset Management. | ||
Raphael Robelin | Senior Portfolio Manager | 2010 | 2018 |
Biography | Raphael is Head of Multi-Asset Credit at BlueBay. He has over 25 years' investment experience and was co-CIO and then sole CIO of BlueBay Asset Management (which is now part of RBC Global Asset Management) from January 2014 to May 2019. Raphael has had overall responsibility for the investment grade debt portfolios and held key portfolio management roles during his time at BlueBay. Raphael joined BlueBay in August 2003 from Invesco where he was a portfolio manager for investment grade funds. Prior to that, he was a portfolio manager with BNP Group and Saudi International Bank. Raphael holds a |
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