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Allianz Reddito Globale (0P00000TSN)

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17.220 -0.030    -0.20%
19/12 - Closed. Currency in EUR
  • Morningstar Rating:
  • Total Assets: 25.19M
Type:  Fund
Market:  Italy
Issuer:  Allianz Global Investors GmbH
ISIN:  IT0000384062 
Asset Class:  Bond
Allianz Reddito Globale 17.220 -0.030 -0.20%

0P00000TSN Overview

 
On this page you'll find an in-depth profile of Allianz Reddito Globale. Learn about the key management, total assets, investment strategy and contact information of 0P00000TSN among other information.
Category

Global Government Bond

Total Assets

25.19M

Expenses

1.07%

Inception Date

Jul 08, 1988

Contact Information

Address L-2633 Senningerberg
Frankfurt am Main, 60323
Germany
Phone +49 (0) 69 2443-1140
Fax Milano

Top Executives

Name Title Since Until
Ranjiv Mann Senior Portfolio Manager 2022 Now
Biography Ranjiv Mann is a Senior Portfolio Manager in AllianzGI’s Core Fixed Income – Global Markets Team. He joined the firm in 2016 following the acquisition and integration of Rogge Global Partners, which he joined in 2000. Ranjiv has over 30 years industry experience in macroeconomic research and sovereign strategy. Previously he was a Senior Economist at the Confederation of British Industry (CBI); Ranjiv was also responsible for preparing economic forecasts for the Chancellor of the Exchequer’s Panel of Independent Forecasters and Associate lecturer in Economics at Surrey University. Ranjiv holds an MA in Economics from the University of Manchester, UK, and he is a member of the Society of Business Economists.
Luke Copley Senior Portfolio Manager 2022 Now
Biography Luke Copley is a Senior Portfolio Manager in AllianzGI’s Core Fixed Income – Global Markets Team. Luke has over 13 years of investment industry experience. Luke joined the firm in 2016 following the acquisition and integration of Rogge Global Partners, which he joined in 2013. Luke is responsible for managing global government, global aggregate and absolute return fixed-income strategies. Prior to moving into a Portfolio Management role, Luke was Head of Fixed Income Sovereign & Aggregate Product Specialists, working closely with the Global Markets CIO and clients on investment strategy, portfolio reviews and the design of customized mandates for institutional investors. Luke originally joined the Rogge team as a Generalist Portfolio Manager in 2013. Prior to this Luke was as an Investment Consultant at Towers Watson. He holds a Chemistry Master’s degree and Associateship of the Royal College of Science; he is also a CFA charterholder and member of the CFA Society.
Filippo Novembri Portfolio Manager 2022 Now
Biography Filippo Novembri is an Associate Portfolio Manager in AllianzGI’s Core Fixed Income – Global Markets Team; he has five years of investment industry experience. Filippo joined the firm in 2019 as an Assistant Portfolio Manager in the LDI team, before joining the Core Fixed Income team in 2020 - initially focusing on portfolio structuring and monitoring for Global Fixed Income portfolios. In 2022, Filippo was promoted to Associate Portfolio Manager, responsible for Global Markets team portfolios. Prior to joining AllianzGI, Filippo worked as Fixed Income Data Analyst for consulting company Capgemini. Filippo holds a BSc in Economics from LUISS University and a MSc in Finance from the London School of Economics; he is also a CFA charterholder and member of the CFA Society.
Julian Le Beron Managing Director 2022 Now
Biography Julian Le Beron leads the Core Fixed Income team and is a voting member on the Global Investment Council at Allianz Global Investors; he joined the firm in 2016 following the acquisition and integration of Rogge Global Partners, which he joined in 2011. Within Core Fixed Income, Julian oversees the global government, global aggregate and absolute fixed-income strategies and has responsibility for two investment teams: Global Markets and European Fixed Income. He has 27 years of investment-industry experience. While working at Rogge Global Partners, Julian was Head of Developed Markets focusing on global government and global aggregate fixed-income strategies. Before that, he was a global government bond portfolio manager at J.P. Morgan Asset Management. Julian has a B.Sc. in management from The London School of Economics and Political Science. He is a CFA charterholder and a member of the CFA Society of the UK.
Jayesh Mistry - 2022 2023
Biography Portfolio Manager in Allianz Global Investor’s Core Fixed Income – Global Markets Team. Mr. Mistry has over 8 years of investment industry experience. He joined the firm in 2016 following the acquisition and integration of Rogge Global Partners as a Portfolio Analyst and became an Associate Portfolio Manager in 2018. Mr. Mistry was promoted to Portfolio Manager in 2021. Previously, Mr. Mistry was a Graduate Financial Analyst for Corporate Investment Bank at JP Morgan Chase. He holds a BSc in Mathematics from the University of Bristol, United Kingdom. Mr. Mistry is a CFA charterholder, a member of the CFA Society and Chartered Financial Data Scientist (CFDS). Since 2020, he has been a member of U.K. Investment Association’s Next Generation Investment Committee.
Sam Hogg Director 2017 2022
Biography Sam Hogg, CFA, is a Director and a Portfolio Manager in Allianz Global Investor’s Core Fixed Income Global Markets Team. He has over 11 years of experience in the investment management industry. Mr.Hogg joined the firm in 2016 following the acquisition and integration of Rogge Global Partners, which he joined in 2011. Since then, Mr. Hogg has been managing Global Aggregate, Short Duration, Cash+, and Global Opportunistic Bond Strategies. He is also responsible for formulating thematic investment views and for taking active country, duration, curve and G10 FX risk across Global Fixed Income portfolios. Mr.Hogg holds a BSc. in Economics from the University of Bristol, United Kingdom. He is a CFA charterholder and a member of the CFA Society.
Monica Zani - 2020 2021
Biography Monica ZANI, CFA is Head of European Fixed Income. She holds a Master degree in Monetary and Economic Policy from Bocconi University in Milan. She joined Allianz Group in Milan in 1994 as a junior portfolio manager in the insurance team; in 2000, she moved in the mutual funds team focusing on portfolios specialized on short and medium part of the curve. She managed also Italian Institutional mandates since 2003. She joined the Paris Team in 2013. Monica is co-lead PM of Allianz European Bond Unconstrained and co-lead PM of Allianz Euro Bond. She is also lead PM of Allianz Euro Bond Short Term 1-3 Plus since October 2017 and lead PM of Allianz Obbligazioni Euro Breve Termine. She has 27 years of experience in the finance industry.
Roberto Antonielli - 2020 2021
Biography Roberto Antonielli, CFA is Senior Fixed Income Portfolio Manager. He has been in charge of medium-long term bond funds in the Euro zone since 2002.He has been a CFA since 2002. Roberto joined Allianz Global Investors in 1997 as a junior portfolio manager on Italian bond funds, then became assistant portfolio manager in global bond funds. He specializes in the Euro zone countries government bonds and interest rate derivatives. He is currently lead PM of Allianz Euro Bond Strategy and Allianz Rentenfonds and co-lead PM of Allianz European Bond Unconstrained. After graduating with honours in Economics from Pavia University in 1996, he obtained a Master’s degree in Economics and Econometrics from University of Southampton.
Mauro Vittorangeli - 2017 2020
Roberto Antonielli - 2015 2020
Biography Roberto Antonielli, CFA is Senior Fixed Income Portfolio Manager. He has been in charge of medium-long term bond funds in the Euro zone since 2002.He has been a CFA since 2002. Roberto joined Allianz Global Investors in 1997 as a junior portfolio manager on Italian bond funds, then became assistant portfolio manager in global bond funds. He specializes in the Euro zone countries government bonds and interest rate derivatives. He is currently lead PM of Allianz Euro Bond Strategy and Allianz Rentenfonds and co-lead PM of Allianz European Bond Unconstrained. After graduating with honours in Economics from Pavia University in 1996, he obtained a Master’s degree in Economics and Econometrics from University of Southampton.
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