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The fund philosophy is to benefit from market volatility (short-term movements) by means of timely switching between stocks and bonds. It aims to take the best of stocks and bonds depending on portfolio managers’ short-term view. Portfolio management approach combines stock and bond selection together with asset allocation within different asset classes. The basis for investment decision is both fundamental analysis and relative performance of asset classes. Recommended investment period is 2 years and more.
Name | Title | Since | Until |
---|---|---|---|
Michael Akramovsky | Portfolio Manager, Manager | 2011 | Now |
Biography | Michael is in charge of portfolio management team and is responsible for management of small and medium cap equity portfolios. Michael joined Allianz ROSNO Asset Management in August 2004 as an equity portfolio manager. He has been in charge of Asset Management Department since 2006. In 2001 Michael graduated from Economics Department of Moscow State University with Master Degree in Financial Economics. He holds 1.0 and 5.0 FSCM qualification certificates. | ||
Timur Salikov | Assistant Portfolio Manager | 2008 | 2011 |
Biography | Timur is responsible for management of individual balanced portfolios and MF “Allianz ROSNO-Balanced”. He joined Allianz ROSNO Asset Management as portfolio manager in October 2008. Prior to that he worked as a portfolio manager in UFG Asset Management and Aconit Ltd. Timur graduated with honours from Moscow State Technical University, Special Engineering Department and also has a Master’s degree in Economics from the Moscow New Economic School. |
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