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The investment objective of the Sub-fund is to achieve capital appreciation and income within defined risk parameters. This Sub-fund aims to outperform the return of the JPM GBI Asia Pacific Diversified 1-10Y USD benchmark. The Sub-fund is actively managed. The benchmark is used as a reference point for portfolio construction and as a basis for setting risk constraints. The majority of the Sub-fund’s exposure to bonds will refer to, and have similar weightings to, the benchmark. The Investment Manager may use its discretion to invest in bonds not included in the benchmark in order to take advantage of specific investment opportunities. It is thus expected that the performance of the Sub-fund will to a limited extent deviate from the benchmark. There are however market conditions that may result in the performance of the Sub-fund being closer to the performance of the benchmark.
Name | Title | Since | Until |
---|---|---|---|
Jeffrey Lau | - | 2022 | Now |
Peijiao Yu | - | 2022 | Now |
Lei Zhu | - | 2012 | Now |
Biography | Lei Zhu, Vice President, Senior Portfolio Manager within Credit Suisse Asset Management. She manages Emerging Market and Asian credit portfolios and funds with a focus on China CNH and CNY. Before joining Credit Suisse in2012, Lei worked for DBS Bank in Singapore, managing fixed income portfolios of Asian sovereigns and corporates, specializing in Asian IG and High Yield issuers. In particular, she used to manage CNH bond investment portfolios and USD Global Credit Funds. Lei has more than 8 years of investment experience in Asian Fixed Income and Credit Markets. She is a CFA charter-holder and holds a Master of Science in Business Administration from the University of British Columbia in Vancouver, Canada. | ||
Adrian Chee | - | 2012 | 2022 |
Biography | Adrian Chee, Director, Senior Portfolio Manager within Credit Suisse Asset Management. He manages Emerging Market and Asian corporates portfolios and funds. Before joining Credit Suisse in 2012, Adrian worked for WesternAsset Management in Singapore, managing Asian hard and local currency IG and non-IG corporates. Prior he worked for Standard & Poor’s Infrastructure and Financial Services Ratings unit as a credit analyst for corporates and financial institutions in South East Asia and South Asia. Before, Adrian was risk manager at Standard Chartered Bank, Singapore. Adrian has more than 20 years of investment experience in Asian Fixed Income and Credit Markets. He holds a Bachelor of Economics from the La Trobe University, Australia, where he focused on Banking and Finance. |
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