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Der Fonds strebt die Erzielung von hohen Erträgen und langfristigem Kapitalzuwachs vornehmlich durch Anlagen in Schuldtiteln von Emittenten aus Schwellenmärkten an. Der Anlageberater beabsichtigt, in Wertpapieren und derivativen Finanzinstrumenten aus einem Anlageuniversum anzulegen, das alle Arten von Barmitteln, Schuldtiteln (einschließlich forderungsbesicherte Wertpapiere), derivativen Finanzinstrumenten an Renten- und Kreditmärkten sowie alle Währungen weltweit umfasst. Derivative hinaus können derivative Finanzinstrumente auch strukturierte Schuldtitel, unter anderem Credit Linked Notes, Deposit Linked Notes oder Total Return Notes, beinhalten.
Name | Titel | Seit | Bis |
---|---|---|---|
Jason Trujillo | Senior Analyst | 2019 | Aktuell |
Michael Hyman | Portfolio Manager | 2016 | Aktuell |
Biografie | Michael Hyman, Portfolio Manager, who has been responsible for the Fund since 2019 and has been associated with Invesco and/or its affiliates since 2013. Previously, Mr. Hyman was with ING Investment Management and ING Institutional Markets for 12 years. At ING, he was the head of investment grade corporate credit, responsible for investment grade corporate credit as well as collaterized loan obligation and synthetic collateralized debt obligation investment portfolios. Mr. Hyman earned a BSE degree in finance from Pennsylvania State University and an MBA from NYU. | ||
Robert Turner | Credit Analyst | 2017 | 2021 |
Biografie | Robert Turner is a Senior Portfolio Manager within Invesco Fixed Income. Robert joined Invesco on 5 June 2017. Prior to joining Invesco he spent 10 years with Voya Investment Management where he was a portfolio manager within multiple credit asset classes. Prior to joining Voya IM in 2007, he was a credit analyst with Freddie Mac (2004-2007) where he analyzed mortgage purchase agreements. Robert earned his BA with a focus in Political Science from University of Arizona and a Masters of Business Administration from Georgia State University. | ||
Sean Newman | Portfolio Manager | 2020 | 2020 |
Rashique Rahman | Portfolio Manager | 2015 | 2019 |
Biografie | Rashique Rahman is the Head of Emerging Markets (EM) for Invesco Fixed Income. Mr. Rahman joined Invesco in 2014. Previously, Mr. Rahman was co-head of Global Foreign Exchange and Emerging Markets Strategy at Morgan Stanley. Prior to this, he led global strategy for EM at HSBC. He has also held positions at Citigroup and worked as a portfolio manager for local EM (rates/FX) at Armored Wolf. His background also includes work as a sovereign analyst at Standard & Poor's in the sovereign ratings group. Mr. Rahman earned an MBA and MA at Columbia University and did his undergraduate work at UCLA. | ||
Jorge Ordonez | Senior Portfolio Manager | 2015 | 2017 |
Biografie | Jorge Ordonez is a Senior Portfolio Manager with the Emerging Markets team within Invesco Fixed Income. In this role, he is focused on emerging markets credit, portfolio construction and risk management. Mr. Ordonez joined Invesco in 2015. Previously, he was a managing director for emerging market corporate investments at Claren Road Asset Management LLC. Before joining Claren Road, he was a desk analyst for Latin American corporate trading with Morgan Stanley & Co. and a managing director for Chinook Capital Partners LLC/Telio LLC, where he was focused on energy and Latin American corporates. | ||
Joseph Portera | Head of Global High Income | 2013 | 2016 |
Biografie | Joseph Portera serves as Chief Investment Officer, High Yield and Multi Sector Credit with Invesco Fixed Income. He is a member of the Office of the Chief Investment Officer. Prior to joining Invesco in 2012, Mr. Portera spent three years at Hartford Investment Management as a managing director and lead portfolio manager and was a senior member of the Global Fixed Income investment platform at Mackay Shields. He entered the industry in 1981. Mr. Portera earned a BA degree in Soviet studies and an MA degree in international political economy and development from Fordham University. | ||
Mark Yu | - | 2013 | 2015 |
Jack Deino | Portfolio Manager | 2011 | 2015 |
Biografie | Jack Deino, CFA is the Head of Emerging Markets Fixed Income at Invesco. In this role, he is responsible for portfolio management for emerging market debt across corporate and government bonds. In addition, he is responsible for emerging market credit research on a global basis for Invesco. He joined Invesco in 2006 and has more than 20 years of experience trading, analyzing, and investing throughout the capital structure of emerging markets companies. He earned a BA degree in Latin American studies from the University of Texas at Austin and is fluent in both Portuguese and Spanish. | ||
Claudia Calich | Head | 2011 | 2013 |
Biografie | Claudia Calich joined M&G in October 2013 as a specialist in emerging markets debt and has been fund manager of the M&G Emerging Markets Bond Fund since December 2013. She was also appointed fund manager of the M&G Global Government Bond Fund and deputy manager of the M&G Global Macro Bond Fund in July 2015. In May 2017, Claudia was appointed fund manager of the M&G (Lux) Emerging Markets Hard Currency Bond Fund at its launch. Claudia has over 20 years of experience in emerging markets, most recently as a senior portfolio manager at Invesco in New York. |
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