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Der Fonds investiert in Obligationen mit guter Schuldnerbonität und Marktgängigkeit. Die Anlagen erfolgen weltweit, ohne währungs-, länder- oderbranchenmässige Beschränkungen. Währungsbedingte Kursschwankungen sind kurzzeitig nicht auszuschliessen. Als Mindestanforderung beim Erwerb gilt für Obligationenanlagen ein ""BBB"" einer der führenden Ratingagenturen bzw. ein vergleichbares internes Rating.
Name | Titel | Seit | Bis |
---|---|---|---|
Philipp Büchler | Portfolio manager | 2022 | Aktuell |
Biografie | Philipp Büchler (MSc, CEFA, CFA), Managing Director, is a Senior Portfolio Manager in the Global Fixed Income team and chairs the Fixed Income Investment Committee. He joined Credit Suisse Asset Management in 2005 from the Swiss National Bank, where he worked as a senior portfolio manager. Prior to that, Philipp was a consultant at Ecofin Investment Consulting. He started his career at UBS Geneva in 1995 and worked for UBS Brinson and Swiss Bank Corporation in New York and Geneva. Philipp holds a master's degree in Economics from the London School of Economics and Political Science, as well as a master's degree in Economics and Political Science from the University of Bern. In addition, he is an EFFAS Certified European Financial Analyst (CEFA) and is a CFA charterholder | ||
Dominik Heer | - | 2022 | Aktuell |
Biografie | Dominik Heer (BA, MA), Director, is a Senior Portfolio Manager in the Global Fixed Income team at Credit Suisse Asset Management. He is responsible for managing global credit portfolios as well as overlay mandates. Dominik joined Credit Suisse Asset Management in 2016 from Finreon, where he was responsible for the company’s quantitative fixed-income fund and fixed-income advisory business. He started his career in 2011 as a credit flow trader at Commerzbank in London, covering the bank’s market-making activities for the utility and TMT sector. Dominik holds a bachelor’s degree in Economics as well as a master’s degree in Banking and Finance, both from the University of St. Gallen. | ||
Monica G. Mastroberardino Gimeno | Portfolio manager | 2007 | 2015 |
Biografie | Mónica Mastroberardino, Director, joined Credit Suisse in April 2006 as a Global Fixed Income portfolio manager. Prior to joining Credit Suisse, she was a senior portfolio manager at Vontobel Asset Management & Investment Funds for eight years, responsible for managing Global Bonds Portfolios. She also managed the Vontobel Eastern European Bond Fund, which has received a number of awards. Prior to that, Ms. Mastroberardino worked as a macroeconomic and financial analyst at Credit Suisse from 1995 to 1998. She holds a Ph.D. in Economics from the University of Cologne (Germany) and an MBA from the Catholic University of Argentina. She also holds the IFID Certificate (ICMA's International Fixed Income and Derivatives Certificate). | ||
Management Team | - | 2005 | 2007 |
Biografie | Team Managed |
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