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The Sub-Fund’s investment objectives are to deliver sustainable positive returns with attractive Sharpe ratio over a recommended minimum investment period of three years while outperforming its reference indicator, calculated with coupons reinvested, and making a positive contribution to society and the environment. 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
Name | Title | Since | Until |
---|---|---|---|
Alessandra Alecci | Vice President | 2023 | Now |
Biography | Ms. Alecci, Vice President, Portfolio Manager and Senior Sovereign Analyst, has served on teams managing fixed-income investments since joining American Century Investments in 2015. Prior to joining American Century Investments, she was an emerging markets analyst for Lazard Asset Management and a sovereign analyst for Moody’s Investors Service. She has a bachelor’s degree in history from New York University and a master’s degree in international economic policy from the School of International and Public Affairs at Columbia University. | ||
Abdelak Adjriou | Senior Portfolio Manager | 2023 | Now |
Biography | Abdelak Adjriou, Vice President and Senior Portfolio Manager, has served on teams managing fixed-income investments since joining the advisor in 2016. Prior to joining American Century Investments, he was an emerging market fixed income, global bond and European fund manager for HSBC Global Asset Management. He joined HSBC Global Asset Management (France) in December 2004 and moved into a portfolio management role in 2007. Before joining HSBC, he worked for Credit Agricole Indosuez (France) as a quantitative analyst and for IBM (France) as an engineer. Mr. Adjriou has been working in the industry since 2003. He graduated from the Ecole Superieure en Sciences Informatiques (ESSI) (France) with a degree in Engineering and a postgraduate degree in Computer Science applied to Finance. He also holds a postgraduate degree in Random Modeling from the Universite Paris VI – Jussieu. | ||
Joseph Mouawad | - | 2017 | 2023 |
Biography | "* Formation * 1995 : Magistère Banque Finance, DESS Techniques financières, Université Paris II Panthéon-Assas * Expérience professionnelle * 1995-1999 : Gérant de portefeuille junior - obligations émergentes (Axa Investment Managers, Paris) * 1999-2004 : Gérant de portefeuille senior - obligations émergentes (Crédit Lyonnais Asset Management, Paris) * 2004-2010 : Responsable de la gestion obligataire émergente (Crédit Agricole Asset Management, Londres, Royaume-Uni) * Depuis mars 2010 : Gérant de portefeuille - obligations (Carmignac Gestion, Paris)" |
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