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The objective of BNP Paribas ESG Global Property Securities Index Fund is to track the return of the FTSE EPRA Nareit Developed Green EU CTB (NTR) Index (the “Index”), including fluctuations. It is anticipated that, under normal market conditions, the annualised Tracking error of the Subfund will not exceed 1.5%. Please note that this is a target only and the Management Company does not provide a guarantee that it will be met.
Name | Title | Since | Until |
---|---|---|---|
Ashok Outtandy | Portfolio Manager | 2022 | Now |
Biography | Ashok Outtandy joined the Indexed Funds Management of BNP Paribas Asset Management (BNPP AM) SIGMA (Structured, Indexed & Generation Multi Alpha) as Portfolio Manager in October 2007. He is responsible for managing indexed funds by pure, synthetic or optimised replication, correlated and leveraged company mutual funds. Ashok has many years of experience with BNPP AM. He began his career with BNPP AM’s Middle Office in 2002. In 2005, he became a management assistant with the SIGMA division. Ashok holds a master’s degree specialised in quantitative methods and financial modelling from the University of La Reunion (2000). | ||
Arnaud MAJANI D'INGUIMBERT | - | 2022 | Now |
Alexandre ZAMORA | - | 2021 | 2022 |
Eric Levy | - | 2021 | 2022 |
Ashok Outtandy | Portfolio Manager | 2021 | 2021 |
Biography | Ashok Outtandy joined the Indexed Funds Management of BNP Paribas Asset Management (BNPP AM) SIGMA (Structured, Indexed & Generation Multi Alpha) as Portfolio Manager in October 2007. He is responsible for managing indexed funds by pure, synthetic or optimised replication, correlated and leveraged company mutual funds. Ashok has many years of experience with BNPP AM. He began his career with BNPP AM’s Middle Office in 2002. In 2005, he became a management assistant with the SIGMA division. Ashok holds a master’s degree specialised in quantitative methods and financial modelling from the University of La Reunion (2000). | ||
Paul Xatard Huberlant | - | 2021 | 2021 |
Shaun Stevens | - | 2011 | 2021 |
Jan Willem Vis | Portfolio Manager | 2011 | 2021 |
Biography | Jan Willem joined ABN AMRO Asset Management’s Property Group in November 1999. He started his career in March 1999 as a management trainee (corporate staff) and has participated in several projects within the bank. Since November 1999, he worked as an assistant portfolio manager for two years. From 2001 until December 2004 he worked as a risk manager/junior portfolio manager in which he was mainly responsible for performance attribution, risk management, and cash management (including hedging). In his current role as Portfolio Manager/Analyst, he focuses on day-to-day management of the High Income portfolios. In addition as an analyst he covers a number of European countries and stocks. Jan Willem graduated with a bachelor’s degree in business economics from Windesheim, Zwolle, in 1999. Currently, he is enrolled in the MSRE program, where he finished the three necessary specialist courses in January 2005 and is finishing the program by writing a final thesis. When successfully completed, Jan Willem will be rewarded with a Master of Science of Real Estate (MSRE) title. | ||
Khing-An Liem | - | 2013 | 2015 |
Robert Stout | - | 2013 | 2015 |
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