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Goldman Sachs Global Strategic Macro Bond Portfolio Io Inc Usd (0P00016MJ2)

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97.400 +0.040    +0.04%
04/11 - Delayed Data. Currency in USD
Type:  Fund
Market:  Luxembourg
Issuer:  Goldman Sachs
ISIN:  LU1253843236 
Asset Class:  Other
  • Morningstar Rating:
  • Total Assets: 156.83M
Goldman Sachs Global Strategic Macro Bond Portfoli 97.400 +0.040 +0.04%

Goldman Sachs Global Strategic Macro Bond Portfolio Io Inc Usd Overview

 
On this page you'll find an in-depth profile of Goldman Sachs Global Strategic Macro Bond Portfolio Io Inc Usd. Learn about the key management, total assets, investment strategy and contact information of 0P00016MJ2 among other information.
Category

USD Flexible Bond

Total Assets

156.83M

Expenses

0.21%

Inception Date

Aug 27, 2015

Investment Strategy

The Portfolio will seek to achieve attractive total returns primarily through capital appreciation from a portfolio of investments primarily in the global fixed income and currency markets. The Portfolio will mainly invest in fixed income securities, currencies, publicly traded securities and financial derivative instruments.

Contact Information

Address 47-49 St Stephen’s Green, Dublin 2
Dublin,
Ireland
Phone -

Top Executives

Name Title Since Until
Sophia Ferguson - 2022 Now
Biography Sophia is a portfolio manager within Goldman Sachs Asset Management Fixed Income. She joined Goldman Sachs Asset Management in November 2019 as a portfolio manager Fixed Income team focused on global multi-sector credit and investment grade strategies. Sophia has over a decade of industry experience managing Fixed Income portfolios for a diverse range of clients, with expertise in quantitative and fundamental investment styles spanning a variety of sub-asset classes, including investment grade credit, high yield credit, sovereign debt, and currency. In addition, Sophia has experience constructing ESG-oriented portfolio solutions and has achieved the CFA UK Certificate in ESG Investing. Previously, Sophia was a portfolio manager at State Street Global Advisors, where she focused on active fixed income and currency portfolio management, originating and implementing alpha strategies. Sophia holds a Bachelor of Arts from Swarthmore College's Honors Program with a major in History and a minor in Mathematics & Statistics.
Puran Narwani - 2021 Now
Hugh Briscoe Managing Director 2021 2022
Biography Mr. Briscoe is a portfolio manager for multi-sector fixed income portfolios. Based on London, Mr. Briscoe manages client portfolios for Goldman Sachs clients globally, with a focus on institutional clients, central banks, and sovereign wealth and state pension funds. He joined Goldman Sachs in 2005 as an executive director and was named managing director in 2017. He was previously a portfolio manager for Goldman Sachs’ Global Liquidity Management business throughout EMEA. Mr. Briscoe holds a Masters in Defence Studies from the College Interarmees De Defense, Paris and a BA (Hons) Philosophy from Bristol University. Prior to joining Goldman Sachs in 2005, Mr. Briscoe served in the British Army for 12 years, achieving the rank of Major. Mr. Briscoe serves on the finance committee of the Sir Oswald Stoll Foundation, a UK charity that provides rehabilitative support to vulnerable and disable ex-Service men and women and is a member-nominated trustee of the Goldman Sachs UK Defined Contribution Pension Plan.
Michael Swell Vice President 2020 2021
Biography Michael is the co-head of Global Lead Portfolio Management within the Global Fixed Income GroupLiquidity Management team at Goldman Sachs Asset Management (GSAM).He is a member of the Fixed Income Strategy. In this role, he is responsible co-leading the global team of portfolio managers that are responsible for overseeing multi-sector portfolios. Previously, Michael was a senior portfolio manager and co-head of the US Fixed Income group. Michael joined Goldman Sachs Asset Management, L.P. in 2007 as a managing director and head of Structured Products. This role entailed the creation of structured product asset management vehicles across the spectrum of fixed income products and management of opportunistic/alternative portfolios. Prior to joining the firm, from 2005 to 2007, Mr. Swell was a Senior Managing Director in charge of Friedman, Billings & Ramsey’s Fixed Income Sales & Trading division.. Under Michael's guidance, his division was responsible for the underwriting of more than $22 billion of mortgage-related transactions and the trading and hedging of all MBS and ABS products. Prior to joining FBR, Michael was the vice president in charge of Freddie Mac’s Securities Sales and Trading Group, Freddie Mac’s in-house MBS broker dealer. Prior to joining Freddie Mac in 1992, Michael marketed and developed fixed income asset management vehicles at BlackRock Financial Management, a fixed income money management firm. Michael started his career as a corporate analyst in the Investment Banking Division of Lehman Brothers helping institutions raise debt capital. Michael earned a BA in Politics and Economics from Brandeis University, a General Course Degree from the London School of Economics and an MA in International Economics and Finance from the Lemberg School at Brandeis University.
Jonathon Orr Portfolio Manager 2020 2021
Biography Jonathon Orr, CFA, has served as a portfolio manager for GSAM since 2015. Prior to this, he spent 10 years within the Securities Division of Goldman, Sachs & Co. where he headed the EMEA Team within Prime Brokerage Risk.
Iain Lindsay Managing Director 2014 2020
Biography Mr. Lindsay is currently Managing Director, Co-Head of Global Lead Portfolio Management and a member of the Fixed Income Strategy Group. Previously, Mr. Lindsay was a senior portfolio manager for the global fixed income and currency management team. Mr. Lindsay joined GSAM International in 2001
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