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The objective of the fund is to offer you by means of an actively managed portfolio a long-term capital gain on your investment by investing in capital securities and/or fixed income securities of issuers worldwide. The sub-fund invests principally, without any form of sector restriction in (i) shares and/or other securities giving access to capital of companies with their registered office and/or a significant part of their assets, activities, profit centres or decision-making centres in Europe or North America (to a maximum amount of 40% of its net assets) and (ii) bonds and/or other fixed or floating rate debt securities with a rating of at least BBB-/Baa3 (investment grade) on the S&P/Moody's ratings scale, offering periodic or capitalised returns.
Name | Title | Since | Until |
---|---|---|---|
Johan van Geeteruyen | - | 2011 | Now |
Biography | Masters degree in Commercial and Financial Sciences from the Vlaamse Economische Hogeschool in Brussels(VLEKHO) and Certified Financial Analyst from the Belgin Association of Financial Analyst(ABAF). From 1987 to1998, was employed with Anhyp, currently part of the Axa Group. Following extensive training in all aspects of the banking sector, he worked at the Treasury Department in charge of cash management. From 1995 to 1998, he was manager of the Department Portfolio Management, which is responsible for the management of all portfolios of the Anhyp Group(unit trusts, pension funds, portfolios held by the bank). | ||
Olivier Van Haute | - | 2011 | Now |
Dirk Pattyn | - | 2016 | 2018 |
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