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The fund strategy seeks to maintain and multiply invested USD capital at the expense of coupon income and growth in the market value of the bonds of issuers from Russia/the CIS, and achieve a level of yield that exceeds the rates offered for USD bank deposits.
Name | Title | Since | Until |
---|---|---|---|
Evgeny Korovin | Head | 2013 | Now |
Biography | Evgeny Korovin, CFA, joined the company in 2008 as a Senior Analyst. He was promoted to the position of Portfolio Manager in 2010 and to Head of Fixed Income Group in 2012. He is responsible for managing fixed income portfolios, including three mutual funds, discretionary institutional and HNW accounts. Before joining the company, Evgeny was employed by Standard & Poor’s for six years where he covered infrastructure sector companies in Russia, the CIS and Eastern Europe as a credit analyst. Evgeny graduated from Lomonosov Moscow State University and is a CFA charterholder. Evgeny ranked 2nd in RBC’s top ten portfolio managers rating in 2011. Also in 2011, the High Yield Fixed Income Fund managed by Evgeny was ranked 1st among Russian bond funds by Business New Europe. |
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