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The objective of the fund is to offer a combination of high income and capital growth for a maximum overall return by investing primarily in interest bearing securities issued by the South African Government and certain parastatals. The fund will strive to consistently outperform the Bond Index. The Manager in selecting securities for the Coronation Bond Fund shall seek to follow an investment policy which will allow it to secure for investors an exposure to longer term fixed interest instruments or gilts.
Name | Title | Since | Until |
---|---|---|---|
Seamus Vasey | - | 2017 | Now |
Steve Janson | - | 2017 | Now |
Biography | Steve is an analyst within the Fixed Interest investment unit with 11 years’ investment experience. Steve’s current responsibilities include trading as well as co-managing the Coronation Active Bond Strategy. | ||
Nishan Maharaj | - | 2013 | Now |
Biography | Nishan is head of research within Coronation’s Fixed Interest unit and has 13 years’ investment experience. He joined Coronation in 2012, responsible for the trading of all fixed interest instruments. Nishan has portfolio management responsibilities for a portion of the fixed interest assets across all strategies. Prior to joining Coronation, he managed fixed interest hedge funds at Investec Asset Management and was responsible for South Africa-specific interest rate derivative trading at Standard Bank. | ||
Mark le Roux | - | 2005 | 2017 |
Edwin Schultz | - | 2005 | 2005 |
Gavin Joubert | Portfolio Manager | 2005 | 2005 |
Biography | Gavin has 15 years' experience as an investment analyst and portfolio manager and is Head of Coronation’s Emerging Markets team. He has managed a range of South African equity and balanced funds and currently co-manages Coronation’s range of emerging market funds. Prior to joining Coronation in 1999, Gavin qualified as a chartered accountant with Ernst & Young and worked for Merrill Lynch and Credit Suisse First Boston in London. Gavin has an excellent track record as portfolio manager for many South African specialist equity and multi-asset class portfolios and has demonstrated an ability to generate high levels of alpha consistently. | ||
Melanie Stockigt | Portfolio Manager | 2003 | 2005 |
Biography | Melanie joined Coronation in June 2002. Her responsibilities since this date includes bond portfolio management and credit analysis. Her previous experience includes five years in Standard Corporate & Merchant Bank's Treasury Division and a lecturing stint. Melanie Stockigt (madame name Melanie Vermeulen) left Coronation in 2005, joining Tantalum Capital. | ||
Arno Lawrenz | - | 2000 | 2003 |
James McWilliams | - | 1997 | 2000 |
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