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The investment objective of the Company in relation is to achieve above-average returns in the long term while observing the principle of risk diversification, through investing at least two thirds of the assets of the Subfund in fixed-interest or floating-rate securities, issued by issuers from so-called emerging market countries. The term "emerging markets" is generally understood to refer to the markets of countries that are in the process of developing into modern industrialised countries and thus display a high degree of potential but also entail a greater degree of risk. In particular, it applies to those countries included in the benchmark according to Annex I or in the MSCI Emerging Markets Index. Investments in emerging market bonds involve a higher degree of risk due to their greater volatility.
Name | Title | Since | Until |
---|---|---|---|
Paul McNamara | Portfolio Manager | 2019 | Now |
Biography | Paul McNamara joined in 1997 from the Export Credits Guarantee Department, where he worked in a similar position. Paul holds a CFA and Master's Degree in Economics from the London School of Economics. After completing this in 1991, he spent three years lecturing at the University of Warsaw before returning to the UK to work as a macroeconomist in the Government Economic Service. Paul has 9 years' experience. | ||
Richard Briggs | Senior Sovereign Portfolio Manager / Sovereign Analyst | 2020 | 2022 |
Biography | Due to European regulatory GDPR guidelines, Candriam cannot provide personal details as education or professional background to databases outside Europe.Information available on request only. | ||
Alessandro Ghidini | - | 2019 | 2019 |
Denise Prime | - | 2019 | 2019 |
Biography | Investment Manager at GAM, where she assists in the management of an emerging markets hedge fund and an emerging markets bond fund. Prior to joining GAM in April 2010, Denise worked as a portfolio manager at both Rogge Global Partners and Henderson Global Investors, focusing on emerging market debt. Denise holds a BA in Economics from the Bryn Mawr College and is a CFA charterholder. She is based in London | ||
Bogdan Manescu | - | 2015 | 2019 |
Enzo Puntillo | - | 2005 | 2019 |
Alessandro Ghidini | - | 2006 | 2010 |
Mark Oliver Rall | - | 2003 | 2006 |
Jean-Dominique Bütikofer | Portfolio Manager | 1998 | 2005 |
Biography | Jean-Dominique Bütikofer, CFA, Portfolio Manager, is Head of Emerging Markets for Voya IM’s fixed-income team. Mr. Bütikofer directs the investment strategy for Emerging Markets, including sovereign and corporate debt, macro analysis, country research, sovereign risk, currencies, local rates and asset allocation across sub asset-classes. Prior to joining Voya IM in 2014, he served as the head of emerging markets fixed income — macro, sovereign and currencies — for Union Bancaire Privee (UBP Investment Management) in Zurich (2006-2014). |
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