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To increase the value of your investment over time and to outperform inflation-linked eurozone bond markets (as measured by the benchmark). In actively managing the fund, the investment manager uses macroeconomic and market analysis to determine bond sector, country, and overall duration exposure. The investment manager then focuses on analysis of issuers and securities to overweight those securities that appear to offer the best return for their risk level (top-down and bottom-up approach). The fund’s exposure to securities, and thus its performance, are likely to differ slightly from those of the benchmark.
Name | Title | Since | Until |
---|---|---|---|
Andrea Giannotta | - | 2010 | Now |
Maria Claudia Rossetti | - | 2008 | 2010 |
Carlo Ciabuschi | - | 2008 | 2010 |
Barbara Bartolini | - | 2008 | 2008 |
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