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The sub-fund invests for total return primarily in a diversified portfolio of Investment Grade rated fixed income (e.g. bonds) and other similar securities from around the world, while promoting ESG characteristics within the meaning of Article 8 of SFDR. The sub-fund aims to do this with a higher ESG score than the Bloomberg Global Aggregate (the “Reference Benchmark”), calculated as a weighted average of the ESG score of the issuers of the sub-fund’s investments, versus the weighted average of the ESG score of the Reference Benchmark constituents. The weighted averages of the ESG score for both the sub-fund and Reference Benchmark will be calculated at sub-fund and asset class level, which enables the sub-fund’s ESG performance to be evaluated at sub-fund or asset class level.
Name | Title | Since | Until |
---|---|---|---|
Ernst Josef Osiander | Head | 2014 | Now |
Biography | Ernst Osiander is Head of Global Bonds and Currencies at Blackfriars Asset Management, formly known as WestLB Mellon Asset Management (UK) Ltd. He is the lead portfolio manager of the WestLB Mellon Global Bond Fund and has over 14yrs of experience anaylsing fixed income and currency markets. He is a graduate of Economics from Ludwig-Maximillans University, Munich. | ||
Guy Dunham | Trader | 2011 | 2014 |
Biography | Guy Dunham is a strategist and lead portfolio manager in the International Fixed Income Group. He focuses on pan-European bond strategies, and is heads of the European, UK and Global ex-US Portfolio Management Team. An employee since 1997, he previously managed a range of European and global fixed income portfolios. Prior to this, he spent five years at Lazard Asset Management where he was initially a member of the Performance and Risk Analysis Team, before moving to the Fixed Income desk, where he covered global bond markets. Before Lazard, Guy worked as an actuarial associate in the Employee Benefits division of Towers Perrin. He obtained an MA (Hons) in Mathematics from Cambridge University. | ||
Azim MEGHJI | Head | 2008 | 2011 |
Biography | Mohamed Azim Meghji, Head of Fixed Income at Santander Asset Management UK, has 17 years’ experience in fund management. He joined Santander Asset Management UK in October 2011. Prior to joining, Azim worked at HSBC Global Asset Management where he had overall responsibility for all credit investment funds in London – this included Sterling, US and Global credit products for both retail and institutional clients. During his time at HSBC, Azim was also a member of various committees including the Global Strategic and Credit Committees as well as being the chair of the Global Credit Asset Allocation Committee. Prior to this, Azim was a Credit Research Analyst both in London and New York. He began his career with Deutsche Bank in 2000 as an analyst having just graduated with a First Class honours degree in Economics. He holds the IMC and SFA qualification and is also a CFA Charterholder. | ||
Gregg Diliberto | CEO, global Head | 2005 | 2008 |
Biography | Gregg Diliberto is Chief Executive Officer of Halbis (US), Global Head of Fixed Income and has been working in the industry since 1985. Prior to joining Halbis in 2004, Gregg was employed by Citigroup Global Investments as Head of Fixed Income, for Credit Suisse Asset Management as Managing Director and Head of Core Fixed Income, and for BEA Associates. Gregg holds a BA from the State University of New York. | ||
David I. Fisher | Chairman | 2005 | 2008 |
Biography | David is an equity portfolio manager at Capital Group. He is chairman emeritus of Capital Group International, Inc. He has 47 years of investment experience and has been with Capital Group for 43 years. Before joining Capital, he was an officer of Smith Barney & Co. and a marketing executive with General Electric Company. David holds a master’s degree from the University of Missouri , and a bachelor’s degree from the University of California, Berkeley. He serves as a member of the Los Angeles Society of Financial Analysts and the International Society of Security Analysts. | ||
Laurent Hirsch | global bond Portfolio Manager | 2002 | 2005 |
Biography | Laurent manages global fixed income portfolios and sits on the committee responsible for setting duration policy across all fixed income mandates. Prior to joining CCF Capital Management in 1999, Laurent worked as a global bond portfolio manager at Credit Suisse. Laurent began his career in 1988 at Louis Dreyfus Spain as a grain trader, he then joined the US grain trading desk (Kansas City) at Louis Dreyfus Corporation in 1989. | ||
James Lark | - | 2000 | 2002 |
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