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Macquarie Dynamic Bond Fund (0P00007E49)

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0.984 -0.003    -0.32%
19/12 - Delayed Data. Currency in AUD
  • Morningstar Rating:
  • Total Assets: 1.47B
Type:  Fund
Market:  Australia
Issuer:  Macquarie Bank Group
ISIN:  AU60MAQ02749 
Asset Class:  Bond
Macquarie Dynamic Bond Fund 0.984 -0.003 -0.32%

0P00007E49 Overview

 
On this page you'll find an in-depth profile of Macquarie Dynamic Bond Fund. Learn about the key management, total assets, investment strategy and contact information of 0P00007E49 among other information.
Category

Bonds - Global / Australia

Total Assets

1.47B

Expenses

Inception Date

Oct 01, 2002

Investment Strategy

The Fund provides exposure to an actively managed, benchmark unaware and diversified portfolio of fixed income investments such as sovereign bonds and investment grade credit. Generally, exposure will be to fixed rate notes. The duration profile of the Fund is actively managed through the use of derivatives such as swaps and futures. The investment process aims to reduce the risk of the Fund being adversely affected by unexpected events or downgrades in the credit rating of the Fund’s investments.

Contact Information

Address No.1 Martin Place
Sydney,NSW 2000
Australia
Phone +61 2 8245 4900

Top Executives

Name Title Since Until
Matthew Mulcahy Portfolio Manager 2015 Now
Biography Matthew Mulcahy leads the Macquarie Investment Management Fixed Income(MFI) global Rates and Currency team. He is also a lead portfolio manager of the Macquarie Australian Fixed Interest Fund and Macquarie Dynamic Bond, and co-manages MFI’s Australian fixed interest portfolios. Mulcahy’s experience and expertise has contributed to MFI’s investment strategies across all the cash and fixed income solutions globally. Mulcahy joined Macquarie Investment Management in 2015, and before that he spent nine years as a senior portfolio manager at PIMCO and was also a member of the Macro Strategic Trading Team at UBS. He holds a Bachelor of Business in Accounting and Finance from the University of Technology Sydney.
Andrew Vonthethoff Portfolio Manager 2013 Now
Biography Andrew is a Senior Portfolio Manager for the Global Fixed Income Team within Macquarie Asset Management (MAM) Credit. He is a lead portfolio manager for global multisector and global bond strategies, a role he assumed in June 2013, and for US multisector portfolios, which he assumed in May 2024. In this role, he is responsible for asset allocation, sector rotation, and security selection across MAM Credit’s global and US multisector portfolios. Andrew joined the firm in 2008 as a Quantitative Analyst on MAM Credit’s Markets and Quantitative Team, where he was involved in building and maintaining financial models. He transferred to the Global Fixed Income Team in 2010, becoming an Assistant Portfolio Manager. He earned a Bachelor of Commerce in actuarial studies and finance from the University of New South Wales. He also holds the Chartered Financial Analyst® designation.
Shaughn Wilkie Portfolio Management 2005 Now
Biography Shaughn Wilkie is a senior portfolio manager responsible for the portfolio management for the Macquarie Investment Management Fixed Income (MFI) global bond solutions. In his role, he specialises in managing all forms of rates strategies including duration and yield curves, as well as country and security selection. Prior to joining the firm in 2004, Wilkie spent twelve years working in the Financial Markets Group at the Reserve Bank of Australia (RBA), including four years as a senior dealer managing the RBA's yen and euro reserves. He holds a Bachelor of Commerce with First Class Honours from the University of Western Sydney.
Graham McDevitt Senior Portfolio Manager 2007 2018
Biography Graham is the global strategist for Macquarie Investment Management Fixed Income and is responsible for coordinating the global sector rotation process across a number of fixed income solutions. Graham is also a senior portfolio manager and part of a team responsible for the Macquarie Dynamic Bond Fund and Macquarie Global Multi-Sector Fixed Income Fund. Prior to joining Macquarie Group in 2007, he spent eight years in various senior positions at ABN Amro, including global head of interest rate strategy, global head of credit research, and more recently, global head of financial market research, covering interest rates, currencies, and credit. In this role he managed a 90-member research team in the United Kingdom, Europe, the United States, and Australia. McDevitt holds a Master of Commerce, major in economics, from the University of New South Wales, located in Sydney, Australia.
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