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Bluebay Funds - Bluebay Global Investment Grade Corporate Bond Fund C - Usd (0P00015NUR)

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135.350 +0.910    +0.68%
25/11 - Closed. Currency in USD
  • Morningstar Rating:
  • Total Assets: 1.74B
Type:  Fund
Market:  Luxembourg
Issuer:  BlueBay Funds Management Company S.A.
ISIN:  LU1196383134 
Asset Class:  Bond
BlueBay Funds BlueBay Global Investment Grade Co 135.350 +0.910 +0.68%

0P00015NUR Overview

 
On this page you'll find an in-depth profile of Bluebay Funds - Bluebay Global Investment Grade Corporate Bond Fund C - Usd. Learn about the key management, total assets, investment strategy and contact information of 0P00015NUR among other information.
Category

Global Corporate Bond - USD Hedged

Total Assets

1.74B

Expenses

0.56%

Inception Date

Mar 23, 2015

Investment Strategy

The Sub-Fund is actively managed and targets better returns than its benchmark, the Bloomberg Barclays Global Aggregate Corporates Bond Index USD Hedged, by investing in a portfolio of investment graderated fixed income securities while taking into account ESG considerations. There are no restrictions on the extent to which the Sub-Fund's portfolio and performance may deviate from the ones of the benchmark. As part of the investment process, the Investment Manager has full discretion over the composition of the Sub-Fund's portfolio and may take exposure to companies, countries or sectors not included in the benchmark.

Contact Information

Address 24, rue Beaumont
Luxembourg, L-1219
Luxembourg
Phone -

Top Executives

Name Title Since Until
Thomas Moulds Portfolio Manager 2017 Now
Biography Tom is a Senior Portfolio Manager within the Investment Grade team focusing on European non-sovereign debt. He joined BlueBay in 2005 as a tactical software developer and joined the Investment Grade team as an assistant portfolio manager in 2007. Prior to BlueBay, he worked as a financial analyst at Schneider Electric and as a financial software consultant. Tom holds a BSc degree in Mathematics from the University of Wales, Swansea, and is a CFA charterholder.
Marc Stacey - 2017 Now
Biography Marc is a Portfolio Manager within the Investment Grade Debt Team focusing on non-sovereign debt. Marc started at BlueBay in June 2004 as an operations analyst before joining the Investment Grade Debt Team in March 2006 as a trader. He moved to his current role in January 2011. Prior to BlueBay, Marc spent two years at CSFB focussing on credit derivatives. He holds a Bachelor of Business Science (Hons) in Economics and Finance from the University of Cape Town, South Africa.
Andrzej Skiba Partner, Head of US Credit, Senior Portfolio Manager 2012 Now
Biography Andrzej joined BlueBay in February 2005 and is a Senior Portfolio Manager responsible for the Developed Markets team and is based in BlueBay's office in Stamford, Connecticut. In 2013, Andrzej moved to the US from London to oversee the buildout of global investment grade capability. This followed a period from 2009, where he was a portfolio manager responsible for corporate investments within BlueBay’s IG strategies. Andrzej spent his first four years at BlueBay as a credit analyst covering the TMT, utilities and retail sectors for the Investment Grade team. Prior to BlueBay, Andrzej worked fo
Vinit Patel Portfolio Manager 2017 2021
Biography Vinit is a Senior Portfolio Manager within the Investment Grade team. He joined BlueBay in 2011 as a trader on the investment grade desk before becoming a portfolio manager in 2014. Prior to BlueBay, he was at Fidelity International and WestLB. Vinit attended the London School of Economics and Political Science, graduating with a first-class honours degree in Economics. He has also completed the IMC, Certificate in Quantitative Finance (CQF) and is a CFA charterholder.
Raphael Robelin Senior Portfolio Manager 2012 2017
Biography Raphael is Head of Multi-Asset Credit at BlueBay. He has over 22 years’ investment experience and was co-CIO and then sole CIO of BlueBay from January 2014 to May 2019. Prior to joining BlueBay in August 2003, Raphael was a portfolio manager at Invesco, BNP Group and Saudi International Bank. Raphael holds a degree in Engineering (IT) and Applied Mathematics from EFREI as well as a Master's in Management and International Finance from La Sorbonne, Paris.
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