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Carmignac Pf Flexible Bond A Eur Acc (0P0000F5JT)

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1,322.090 0.000    0%
20/11 - Delayed Data. Currency in EUR
Type:  Fund
Market:  Luxembourg
Issuer:  Carmignac Gestion Luxembourg
ISIN:  LU0336084032 
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 1.54B
Carmignac Portfolio Unconstrained Euro Fixed Incom 1,322.090 0.000 0%

Carmignac Pf Flexible Bond A Eur Acc Overview

 
On this page you'll find an in-depth profile of Carmignac Pf Flexible Bond A Eur Acc. Learn about the key management, total assets, investment strategy and contact information of 0P0000F5JT among other information.
Category

EUR Flexible Bond

Total Assets

1.54B

Expenses

1.22%

Inception Date

Dec 14, 2007

Investment Strategy

The Sub-Fund's objective is to outperform its reference indicator over a recommended minimum investment period of 3 years. In addition, the Sub-Fund seeks to invest sustainably for long-term growth and implements a socially responsible investment approach. This Sub-Fund is an actively managed UCITS. The investment manager has discretion over the composition of its portfolio, subject to the stated investment objectives and policy.

Contact Information

Address 7, rue de la Chapelle
Luxembourg, L-1325
Luxembourg
Phone +352 46 70 60-62

Top Executives

Name Title Since Until
Guillaume Rigeade - 2019 Now
Eliezer Ben Zimra - 2019 Now
Julien Chéron - 2017 2019
Biography "* 2002: Master in Applied Mathematics (University of Paris VI), Paris * 2003: DEA (post master degree) in Statistics and Modelling (University of Paris VII), Paris * Professional experience * 2002-2003: Risk manager (CDC Ixis Capital Markets, Paris) * 2003-2006: Quantitative analyst (IXIS Corporate & Investment Bank, Paris) * 2006-2009: Risk manager, Founding partner (Anakena Finance, Paris) * 2009-2011: Risk Controller (Carmignac Gestion, Paris) * 2011-2015: Quantitative analyst, Cross Asset team (Carmignac Gestion, Paris) * March 2015 to date: Fund manager (Carmignac Gestion, Paris)"
Carlos Andres Galvis Portfolio Manager 2010 2019
Biography - 1999: MSc in Economics, University of Andes, Bogota, Colombia - 2007: MSc in Finance, Birbeck College, University of London, UK; - 1998-2000: Investment Manager; Bond and local currency (Alianza Fiduciaria, Bogota, Colombia) - 2000-2001: Economic and Financial advisor (FOGAFIN, Bogota, Colombia) - 2001-2002: Macro strategist (Crédit Agricole Asset Management, London, UK) - 2002-2005: Portfolio manager ; Global Fixed Income & Currency (Crédit Agricole Asset Management, London, UK) - 2005-2009: Head of UK Gilt Plus LDI team; Senior Portfolio Manager VAR Products (Crédit Agricole Asset Management, London, UK) - 2009-2010: Head of Global Absolute Return Team (Amundi, London, UK) - October 2010 to date: Portfolio Manager; Fixed Income (Carmignac Gestion, Paris)
Rose Ouahba - 2010 2010
Biography Maîtrise en Sciences économiques et Finance, Université Paris II Panthéon-Assas * 1994 : DESS en ingénierie financière, Université Paris XII * Expérience professionnelle * 1995-1997 : Intermédiation sur taux courts, change et produits structurés (CDC, Paris) * 1998-1999 : Gérante de portefeuille junior de fonds obligataires globaux (Ecureuil Gestion, Paris) * 2000-2005 : Gérante de portefeuille obligataire senior (IXIS Asset Management, Paris) * 2005-2007 : Gérante de portefeuille obligataire en charge de la diversification des stratégies (IXIS Asset Management, Paris) * 2007 : Equipe CDO, développement d'un processus d'allocation d'actifs au travers de crédits structurés (IXIS Asset Management, Paris) * 2007-2011 : Gérante de portefeuille - produits de taux (Carmignac Gestion, Paris) * Depuis avril 2011 : Responsable de la gestion Taux (Carmignac Gestion, Paris)"
Laurent Chebanier - 2008 2009
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