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Rbc Qube Low Volatility U.s. Equity Fund F (0P00013X79)

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23.789 -0.004    -0.02%
13/11 - Closed. Currency in USD
Type:  Fund
Market:  Canada
Issuer:  RBC Global Asset Management Inc.
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 1.96B
RBC QUBE Low Volatility U.S. Equity Fund Ser F 23.789 -0.004 -0.02%

Rbc Qube Low Volatility U.s. Equity Fund F Overview

 
On this page you'll find an in-depth profile of Rbc Qube Low Volatility U.s. Equity Fund F. Learn about the key management, total assets, investment strategy and contact information of 0P00013X79 among other information.
Category

US Equity

Total Assets

1.96B

Expenses

Inception Date

Nov 19, 2012

Investment Strategy

To provide long-term capital growth by investing primarily in equity securities of U.S. companies using a quantitative investment approach. The fund seeks to achieve a reduced level of volatility of returns as compared to the broader U.S. equity market.

Contact Information

Address Suite 2200
Toronto,ON M5V 3K7
Canada
Phone 416-974-0616
Fax 416-974-0040

Top Executives

Name Title Since Until
Norman So Senior Portfolio Manager 2012 Now
Biography Norman is Senior Portfolio Manager, Quantitative Investments at RBC Global Asset Management (GAM) and specializes in quantitative equity mandates. Prior to joining the Quantitative Investments team, Norman facilitated the development of quantitative resources for research initiatives within the Quantitative Research Group (QRG) at PH&N Investment Management. He joined the firm in 2004. Norman holds a Bachelor of Commerce degree from University of British Columbia and an MBA from Simon Fraser University, and has been a CFA charterholder since 2007.
Oliver McMahon Senior Portfolio Manager 2012 Now
Biography Oliver is a Senior Portfolio Manager specializing in the management of quantitative equity mandates at RBC Global Asset Management (RBC GAM) in 2012. For the prior four years, Oliver was a senior portfolio manager at the same firm, developing stock-picking models for Canadian long-only and long-short equity strategies. He began his career in London, England at a global bank responsible for managing quantitative UK and European equity strategies. Oliver holds a Bachelor of Science degree (Hons) from the University of East London and became a CFA charterholder in 2003.
Bill Tilford Vice President & Senior Portfolio Manager 2012 2021
Biography Bill is Vice President & Senior Portfolio Manager, Quantitative Invesmtnets at RBC Global Asset Management Inc. (RBC GAM). He has been working in the investment industry since 1986. Prior to joining RBC GAM, Bill was Vice President and Head of Global Corporate Securities (Public Market Investments) at the Canadian Pension Plan Investment Board. For 12 years, he was a partner at a large Canadian asset manager. He obtained a Master's in Mathematics (Statistics and Finance) in 1992 and a Bachelor of Mathematics (Hons) in 1988 both from the University of Waterloo.
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