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Fsi Wholesale Global Corporate Bond (LP68054538)

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CFS Wholesale Global Corporate Bond historical data, for real-time data please try another search
0.656 -0.003    -0.42%
22/06 - Closed. Currency in AUD
Type:  Fund
Market:  Australia
Issuer:  Commonwealth/Colonial Group
ISIN:  AU60FSF10774 
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 42.64M
CFS Wholesale Global Corporate Bond 0.656 -0.003 -0.42%

Fsi Wholesale Global Corporate Bond Overview

 
On this page you'll find an in-depth profile of Fsi Wholesale Global Corporate Bond. Learn about the key management, total assets, investment strategy and contact information of LP68054538 among other information.
Category

Bonds - Global

Total Assets

42.64M

Expenses

Inception Date

Dec 07, 2009

Investment Strategy

The fund’s strategy is to earn an income return from predominantly investing in global credit securities, controlling risk through careful selection and monitoring, combined with broad diversification. The fund focuses on building a portfolio that seeks to deliver a superior risk/ return trade-off compared to the index by rigorous credit monitoring and portfolio construction. Derivatives may be used for risk management or return enhancement. The fund aims to hedge currency exposure.

Contact Information

Address 201 Sussex Street
Sydney,NSW 2000
Australia
Phone +61 2 93782000
Fax +61 02 9118 7192

Top Executives

Name Title Since Until
Tony Togher - 2016 Now
Biography As Head of Fixed Income, Short Term Investments & Global Credit, Tony oversees of a range of fixed income, credit, and cash investment capabilities. He provides investment leadership and strategy to deliver on a wide variety of client objectives. He also has responsibility for investment outcomes, governance, team management, product development, client servicing, business development, and managing our counterparty relationships. Over his career spanning more than three decades, Tony has a proven track record of achieving success as an investor, engaging with clients, managing businesses, and nurturing talent. Tony joined First Sentier Investors in March 2002 as a result of the merger of Commonwealth Investment Management and (then) Colonial First State, where he had established the Cash business in April 1988. Prior to this, Tony was employed at the Commonwealth Bank of Australia, in the Global Markets Treasury Division, in a variety of portfolio trading roles. In 2003, Tony was appointed as a Trustee Director of the Commonwealth Bank Officers Superannuation Corporation (CBA Group Super). In 2012, Tony was appointed to the Market Governance Committee of the Australian Financial Markets Association (AFMA), where he currently acts as Deputy Chair.
Benjamin Samuel - 2015 Now
Biography "Ben joined First Sentier Investors in June 2015. Based in our Sydney office, Ben is responsible for the management of our global credit portfolios, with a particular focus on interest rate, foreign exchange and derivative risk management. Ben was previously responsible for the day-to-day management of a number of global, Australian diversified and inflation-linked portfolios within the Fixed Income business. Prior to joining First Sentier Investors, Ben spent five years at Queensland Treasury Corporation working in various analytical roles across the Risk and Markets businesses. Ben holds a Bachelor of Business and Master of Business (App. Fin.) from the Queensland University of Technology. Ben is also an Accredited Individual (dealer), having completed the AFMA Diploma of Financial Markets."
Craig Morabito Portfolio Manager 2009 Now
Biography "Craig Morabito is a Senior Portfolio Manager within the Short Term, Fixed Income and Global Credit Investment Team at First Sentier Investors. Craig is responsible for investment strategy, management, product development, and client servicing of FSIs global credit strategies. Craig has extensive experience and proven success across all aspects of portfolio management including; macro strategy, security selection, relative value analysis and portfolio construction. Craig’s investment leadership has seen FSIs suite of global credit strategies outperform benchmarks and achieve top tier peer relative performance. Craig began his career at First Sentier Investors as a Credit Analyst in June 2005, covering Financials and Consumer non-Cyclicals. In his time as a credit analyst he helped successfully guide the portfolios through the GFC and was also involved in the establishment of the ESG risk rating process. In July 2010, Craig was promoted to portfolio manager for a number of passive, active and ALM Australian fixed income and credit portfolios. Craig commenced responsibility for the suite of Global Credit strategies in 2014. Craig has successfully guided the launch of a pure Global Investment Grade strategy in 2016 and Sustainable Loan strategy in 2021. Craig is a CFA Charter holder. He holds a Master of Applied Finance from Macquarie University, a Diploma of Financial Planning and a Diploma of Financial Markets from FINISIA. Craig is also member of the CFA Society of Sydney."
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