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The investment seeks to surpass the performance of the EONIA index. The fund primarily invests in bonds, convertible bonds and money market instruments. It may invest in bonds rated at least BBB-, and other debt securities rated at least A-3. The fund may invest up to 25% in credit default swaps, for credit risk management. It may invest in mortgage- and asset-backed securities rated at least A, and in asset-backed commercial paper rated at least A-3. The holding period will not exceed three months.
Name | Title | Since | Until |
---|---|---|---|
Ali Ozenici | - | 2021 | Now |
Biography | Ali Ozenici has been a Money Market portfolio manager in Allianz Global Investors since 2006, just over one year after he joined the company as a Financial Analyst in equity and credit. He is a member of the Money Market portfolio management team and is the lead fund manager for Allianz Cash Facility Fund and Allianz Geldmarktfonds Spezial. He is also responsible for other institutional Money Market mandates. Before joining the company, Ali worked in the Research and Finance department at Dexia Credit Local, and in the Finance department at Société Générale. Ali holds a specialized Master’s degree in Market Finance, Asset Management from University of Évry. | ||
Guillaume Zilliox | - | 2021 | Now |
Biography | Guillaume Zilliox has been a Money Market portfolio manager in Allianz Global Investors since 2008, 2 years after he joined the company as Middle Office Operator. He is the lead fund manager of SGB Geldmarkt, and the co-lead fund manager of CB Geldmarkt Deutschland I. Guillaume Zilliox holds a Master Degree in Finance from Poitiers University. | ||
Vincent Tarantino | - | 2003 | Now |
Biography | Vincent Tarantino has been the Head of Money Market portfolio management since he joined Allianz Global Investors in 1999. Vincent brings with him a wealth of experience with a total of 30 years working in the industry. Prior to joining Allianz Global Investors, Vincent worked as a Trader of equity and fixed income products at CCF Capital Management and at J.P. Morgan for 1 and 2 years respectively. Before that, Vincent was a Broker for fixed income products at Finacor for 5 years. Prior to that, he held the position of Money Market portfolio manager at François Dufour Kervern (ABN) for 2 years. He began his career as an Economics and management professor at a business school. Vincent holds a Master’s degree in International Economics from Paris I Panthéon-Sorbonne University. | ||
Yassine Oussana | - | 2020 | 2021 |
Biography | Yassine Oussana joined the group in 2003 as assistant portfolio Manger. In 2005 he became Money Market portfolio manager. Yassine Oussana holds a Master Degree in Insurance Technics and Management of Risks From the Paris Dauphine University. |
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