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189,31M
1,40%
6-26-2000
Der Fonds strebt einen hohen Grad von laufenden Erträgen und Kapitalwertsteigerung vornehmlich durch Anlagen in hochverzinslichen Wertpapieren niedrigerer Qualität (Sub Investment Grade) von Emittenten an, die ihre Hauptgeschäftsaktivitäten in West-, Mittel- und Osteuropa (einschließlich Russland) haben. Die Arten von Schuldtiteln, in die der Fonds vornehmlich anlegen wird, unterliegen hohen Risiken und müssen keinem Mindestratingstandard entsprechen. Die meisten, aber nicht alle Papiere werden hinsichtlich ihrer Bonität von einer international anerkannten Ratingagentur eingestuft worden sein.
Name | Titel | Seit | Bis |
---|---|---|---|
Peter Khan | Portfolio Manager | 2019 | Aktuell |
Biografie | "Peter Khan is Portfolio Manager of Fidelity’s US High Yield, Global High Yield and Total Return Credit (Multi-Asset Credit and Global Income) strategies. Peter joined Fidelity in 2000 as a trader and was promoted to Head of Trading in 2003. Peter became a portfolio manager in 2009 and is a lead or co-manager for a number of global fixed income portfolios, including Fidelity’s US High Yield, Global High Yield and Global Income strategies. Peter is a key member of both Fidelity’s High Yield and Unconstrained Bond strategy teams. Prior to Fidelity, he was with Bayerische Hypo-und-Vereinsbank as the Head of Trading of the London Eurobond desk." | ||
James Durance | Co-Manager | 2017 | Aktuell |
Biografie | "James Durance is a Portfolio Manager within Fidelity Fixed Income, focused on High Yield and Income disciplines. James joined Fidelity in 2013 as a Senior Credit Analyst covering the Automotive and Transportation sectors. He joined the Portfolio Management team in 2015 as an Assistant Portfolio Manager. As a co-manager on Global High Yield, joint lead manager on European High Yield, and leadmanager on Global Income strategies, he is a key member of the High Yield and Unconstrained Bond strategy teams. Prior to joining Fidelity, James was a senior sell-side credit analyst at Morgan Stanley." | ||
Andrei Gorodilov | Assistant Portfolio Manager | 2013 | Aktuell |
Biografie | Andrei Gorodilov joined Fidelity in 2004 as a Senior Credit Analyst covering the TMT (Telecom, Media & Technology) sector and later added Emerging Market banks to his universe. Andrei moved to an Assistant Portfolio Manager position in June 2009, working closely with Ian Spreadbury on further expansion of Fidelity’s European High Yield franchise, before becoming a Portfolio Manager for this discipline. Prior to joining Fidelity, Andrei spent six years with Credit Suisse in London as a credit analyst. He started his financial services career at the European Bank for Reconstruction and Development in 1996. Andrei earned a BA (Hons) in History from Khabarovsk State University in the Russian Far East before completing a Master’s Degree at Columbia University. | ||
Ian Spreadbury | Director | 2002 | 2013 |
Biografie | Ian has more than 30 years of investment experience, making him one of the most experienced managers in the industry. He joined Fidelity in 1995. Prior to joining us, Ian worked at Legal & General, Sedgwick Forbes and at Duncan C Fraser. His most recent accolade was being awarded the OBSR ‘Outstanding Investor’ honour. Ian holds an MSc in Mathematical Statistics from the University of Sussex and a BSc in Pure & Applied Mathematics from the University College of North Wales. He is a Fellow of the Institute of Actuaries. Ian manages the Fidelity MoneyBuilder Income, Strategic Bond and Extra Income Funds. |
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