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Bny Mellon Global Funds Plc - Bny Mellon Global Real Return Fund (eur) Eur G Acc (0P0001BW2D)

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1.193 -0.000    -0.01%
00:00:00 - Closed. Currency in EUR
Type:  Fund
Market:  Ireland
Issuer:  BNY Mellon Fund Management (Lux) S.A.
ISIN:  IE00BZ1LH503 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 3.23M
BNY Mellon Global Funds PLC - BNY Mellon Global Re 1.193 -0.000 -0.01%

Bny Mellon Global Funds Plc - Bny Mellon Global Real Return Fund (eur) Eur G Acc Overview

 
On this page you'll find an in-depth profile of Bny Mellon Global Funds Plc - Bny Mellon Global Real Return Fund (eur) Eur G Acc. Learn about the key management, total assets, investment strategy and contact information of 0P0001BW2D among other information.
Category

EUR Flexible Allocation - Global

Total Assets

3.23M

Expenses

1.12%

Inception Date

Oct 26, 2017

Investment Strategy

The objective of the Sub-Fund is to achieve a total return in excess of a cash benchmark (as described below) over an investment horizon of 3-5 years. Investment Policy The Sub-Fund will use its ability to invest freely in a wide range of asset classes, aiming to have a reasonably moderate risk exposure at any point in time. The SubFund is a multi-asset global portfolio. Allocations will be made at the Investment Manager’s discretion, based upon the Investment Manager’s proprietary global investment approach, both within each asset class and among the asset classes. The Sub-Fund need not be invested in any or all of the asset classes at any one time.

Contact Information

Address 2-4, rue Eugène Ruppert L-2453 Luxembourg
Luxembourg, 2453
Luxembourg
Phone -
Fax Luxembourg

Top Executives

Name Title Since Until
Andrew Warwick Portfolio Manager 2018 Now
Biography Andy is a global portfolio manager of the Real Return strategy. Together with Aron Pataki and Suzanne Hutchins, Andy is responsible for the final capital allocation decisions on the strategy. Andy started his career at Mercury Asset Management in 1993 as a unit trust dealer before joining the quant and derivatives team to focus on managing synthetic portfolios for clients and trading equity derivatives for the firm. In 2006, Andy joined the multi-asset team at BlackRock where he was responsible for managing absolute and relative return mandates, as well as the head of research specialising in equity thematic views and risk premia strategies. Andy has an MSc in Finance from Leicester University and is a CFA charterholder. Andy plays in a rock band in his spare time and enjoys playing, writing and recording music.
Suzanne Hutchins Head of Real Return 2015 Now
Biography Suzanne is a portfolio manager on the Real Return strategy and head of the Real Return team. She chairs the formal team meeting and, together with Aron Pataki and Andy Warwick, Suzanne is responsible for the final capital allocation decisions on the strategy. Suzanne started her career at Newton in 1991 as a global research analyst before working directly with Stewart Newton on multi-asset and RPI-based strategies and leading on Newton’s UK and Intrepid teams. In 2005, Suzanne joined Capital International, before returning to Newton to focus on the Real Return strategy. She is an associate member of the CFA and UK Society of Investment Professionals (UKSIP) and graduated from University College London with a First Class BA (Hons) degree.
Aron Pataki Portfolio Manager 2015 Now
Biography Aron is a global portfolio manager and risk strategist for the Real Return portfolios, with a particular focus on the use of derivatives and hedging. Together with Suzanne Hutchins and Andy Warwick, Aron is responsible for the final capital allocation decisions on the strategy. Aron joined Newton in 2006 as a member of the portfolio analytics team, where he was responsible for risk analysis and portfolio construction across Newton’s institutional and retail portfolios. Previously, he worked as a quantitative analyst at Lacima Group.
James Harries Portfolio Manager 2010 2015
Biography James is the Senior Fund Manager and has 23 years’ investment experience, and has managed global equity portfolios since 2002. Joining Troy in 2016 to establish the Trojan Global Income Fund, James was previously a Fund Manager at Newton Investmen. He was also the alternate manager on the Newton Real Return Fund. James graduated from Bristol University with a BSc in Politics, before completing his Masters in Finance at the London Business School. He holds the ASIP qualification and is an Associate Member of the CFA Society of the UK.
Aron Pataki Portfolio Manager 2014 2015
Biography Aron is a global portfolio manager and risk strategist for the Real Return portfolios, with a particular focus on the use of derivatives and hedging. Together with Suzanne Hutchins and Andy Warwick, Aron is responsible for the final capital allocation decisions on the strategy. Aron joined Newton in 2006 as a member of the portfolio analytics team, where he was responsible for risk analysis and portfolio construction across Newton’s institutional and retail portfolios. Previously, he worked as a quantitative analyst at Lacima Group.
Suzanne Hutchins Head of Real Return 2013 2015
Biography Suzanne is a portfolio manager on the Real Return strategy and head of the Real Return team. She chairs the formal team meeting and, together with Aron Pataki and Andy Warwick, Suzanne is responsible for the final capital allocation decisions on the strategy. Suzanne started her career at Newton in 1991 as a global research analyst before working directly with Stewart Newton on multi-asset and RPI-based strategies and leading on Newton’s UK and Intrepid teams. In 2005, Suzanne joined Capital International, before returning to Newton to focus on the Real Return strategy. She is an associate member of the CFA and UK Society of Investment Professionals (UKSIP) and graduated from University College London with a First Class BA (Hons) degree.
Iain Stewart Senior Member 2010 2013
Biography Iain joined Newton in 1985 as a portfolio manager after completing his Doctorate with the Ministry of Agriculture, Fisheries and Food. Iain is a senior member of our Strategy Team with particular responsibility for co-ordinating the development of our global investment themes. He has worked for Newton for 20 years and during this time has specialised in managing multi-asset and global equity mandates for pension fund clients. Since 1992 he has been the manager of the Newton Exempt Fund.
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