Versuchen Sie es noch einmal mit einem anderen Suchbegriff
1,59B
0,95%
16.10.2018
Das European Select Portfolio strebt einen Kapitalzuwachs durch überwiegende Investition in die Aktien von Unternehmen mit Sitz oder überwiegender Geschäftstätigkeit in Kontinentaleuropa an. Hierzu können große, mittlere und kleinere Unternehmen zählen. Es gibt keine besondere sektorale Spezialisierung. Aufgrund dieser Investmentstrategie hat das Portfolio auch die Flexibilität, erhebliche Aktien- und Sektorpositionen zu halten, was mit einer höheren Volatilität verbunden sein kann. Das Portfolio kann darüber hinaus in andere Wertpapiere investieren (einschließlich festverzinsliche Wertpapiere, sonstige Aktien und Geldmarktinstrumente).
Name | Titel | Seit | Bis |
---|---|---|---|
Benjamin Moore | - | 2019 | Aktuell |
Biografie | "Benjamin Moore is a portfolio manager within the European equities team and manages the European Select strategy. Benjamin joined the team in 2015 as a European small cap analyst. In this role, he was also deputy portfolio manager of the European Smaller Companies strategy. Before joining the company, Benjamin spent six years with Goldman Sachs, where he worked as an equity research analyst within the European mid cap team. Benjamin holds an MA in History of Art from Cambridge University and studied Music at the University of the Arts, Berlin. He holds the Chartered Financial Analyst designation." | ||
Dave Dudding | Portfolio Manager | 2013 | 2021 |
Biografie | "David Dudding is a senior portfolio manager at Columbia Threadneedle Investments where he is the lead portfolio manager of the Global Focus strategy and deputy of the European Select strategy. He joined the company as an equity research analyst in 1999, moving on to manage the European Smaller Companies strategy for 10 years until December 2012. David previously worked for John Swire and Sons in Hong Kong and for Investors Chronicle as a financial journalist. He holds a Modern History degree and a European Politics Masters degree from Oxford University. He also holds the Chartered Financial Analyst designation and is a member of the CFA Society of the UK." | ||
Mark Nichols | Portfolio Manager | 2016 | 2019 |
Biografie | Mark Nichols joined Jupiter in July 2019 to manage the Jupiter European Fund (Unit Trust) and the Jupiter European Growth fund (SICAV). He also currently co-manages Jupiter Eurozone Equity fund (SICAV), Jupiter European Opportunities fund (SICAV) and Jupiter European Special Situations fund (UT). Prior to joining Jupiter, Mark managed European equity portfolios at Columbia Threadneedle and before that at BMO Global Asset Management (F&C). He began his investment career in the European equities team at Invesco in 2001. | ||
Paul Doyle | Portfolio Manager | 2012 | 2013 |
Biografie | Paul Doyle joined the company in 1995 as a portfolio manager in the European equities team. He jointly manages the Pan European Absolute Alpha strategy and manages the CT European Fund, as well as number of institutional portfolios. He became Head of Large Cap European equities in 2022. Paul started his career with Fidelity as an analyst before moving to Foreign & Colonial as a European portfolio manager, where he specialised in smaller companies and Mediterranean markets. He holds a degree in History and History of Art from Trinity College, Cambridge. |
Sind Sie sicher, dass Sie %USER_NAME% sperren möchten?
Dadurch werden Sie und %USER_NAME% nicht mehr in der Lage sein, Beiträge des jeweils anderen auf Investing.com zu sehen.
%USER_NAME% wurde erfolgreich zu Ihrer Sperrliste hinzugefügt.
Da Sie diese Person entsperrt haben, müssen Sie 48 Stunden warten, bevor Sie sie wieder sperren können.
Sagen Sie uns Ihre Meinung zu diesem Kommentar
Vielen Dank!
Ihre Meldung wurde zur Überprüfung an unsere Moderatoren geschickt