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Im Rahmen der allgemeinen Anlagepolitik investieren die Subfonds mindestens zwei Drittel ihres Vermögens in auf CHF, EUR, USD rsp. GBP lautende, übertragbare Obligationen, Notes und ähnliche fest- oder variabel verzinsliche, gesicherte oder ungesicherte Schuldverschreibungen (inkl. Floating Rate Notes, Wandel- und Optionsanleihen, deren Optionsscheine auf Wertpapiere lauten) öffentlich-rechtlicher, gemischtwirtschaftlicher und privater Schuldner (Unternehmen) sowie in ähnliche Wertpapiere. Dabei investieren die Subfonds in Wertpapiere, welche ein Rating zwischen AAA und BBB- (gemäss Rating-Agentur Standard & Poor's oder UBS internem Rating) oder vergleichbar aufweisen.
Name | Titel | Seit | Bis |
---|---|---|---|
Géraldine S. Haldi | - | 2020 | Aktuell |
Biografie | Géraldine Haldi is a member of the fixed income team based in Zurich and is lead Portfolio Manager for several actively managed US dollar credit portfolios. In addition, Géraldine is managing passive single and multi-currency segregated mandates and funds. In that role she is also responsible for managing currency risk as well as executing FX transactions for the Zurich FI team. She joined UBS Asset Management as quantitative analyst in 2007 after graduating her master studies in finance and business administration in Basel. She moved to the portfolio manager role in 2011. | ||
Andy Nham | - | 2020 | Aktuell |
Marco Bontognali | Director | 2018 | Aktuell |
Biografie | Marco Bontognali is a portfolio manager within the Index Fixed Income team and a Director at UBS Asset Management. In this role, he is responsible for managing a range of passive strategies. Mr. Bontognali joined UBS Asset Management in 2018. Prior to this, he worked in Vontobel Asset Management where he managed Swiss Franc and global fixed income portfolios including sustainable investment strategies. | ||
Marko Pavic | - | 2018 | 2020 |
Biografie | Marko Pavic is a member of the Eurodollar Fixed Income team at UBS Asset Management with responsibilities for the management of USD money market and USD short- and medium term investment portfolios. In addition, he is deputy fund manager for CHF, AUD and CAD money market funds as well as for long term and corporate credit investment portfolios in USD. Marko is a member of the Eurodollar Fixed Income Strategy committee and the European Money Market committee. Prior to joining UBS in 2013, Marko was a fund manager at Clariden Leu in Zurich for short term strategy funds in various currencies. He took a major role in launching Clariden Leu's Liquidity Solution franchise. After merging with Credit Suisse, Marko was a fund manager for Credit Suisse Zurich, managing short duration credit funds and floating rate strategy funds in USD und EUR. In addition, he was deputy fund manager for Credit Suisse money market funds. At Clariden Leu and Credit Suisse he also was member of the Fixed Income corporate credit committee, responsible for the banking and financials sector. | ||
Anna-Huong Findling | - | 2013 | 2020 |
Géraldine S. Haldi | - | 2015 | 2018 |
Biografie | Géraldine Haldi is a member of the fixed income team based in Zurich and is lead Portfolio Manager for several actively managed US dollar credit portfolios. In addition, Géraldine is managing passive single and multi-currency segregated mandates and funds. In that role she is also responsible for managing currency risk as well as executing FX transactions for the Zurich FI team. She joined UBS Asset Management as quantitative analyst in 2007 after graduating her master studies in finance and business administration in Basel. She moved to the portfolio manager role in 2011. |
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