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Ct Dollar Bond Fund Institutional Gross Accumulation Gbp (0P0001BNOV)

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1.206 -0.001    -0.12%
27/12 - Closed. Currency in GBP
  • Morningstar Rating:
  • Total Assets: 108.6M
Type:  Fund
Market:  United Kingdom
Issuer:  Threadneedle Investment Services Ltd
ISIN:  GB00BD5ZXT05 
Asset Class:  Bond
Threadneedle Dollar Bond Fund Institutional Gross 1.206 -0.001 -0.12%

0P0001BNOV Overview

 
On this page you'll find an in-depth profile of Ct Dollar Bond Fund Institutional Gross Accumulation Gbp. Learn about the key management, total assets, investment strategy and contact information of 0P0001BNOV among other information.
Category

USD Diversified Bond

Total Assets

108.6M

Expenses

1.15%

Inception Date

Oct 05, 2017

Investment Strategy

The Fund aims to provide income with the prospect of some capital growth over the long term (5 years or more). The Fund is actively managed, and invests at least two-thirds of its assets in bonds issued by the US government and companies worldwide, denominated in US dollars (or hedged back to USD, if a different currency). The Fund may also invest in other bonds, including US denominated bonds issued by governments outside the US (or government agencies), as well as international organisations. The Fund usually selects bonds that are investment grade, but may include some bonds with a lower credit rating in the portfolio if this is considered appropriate to achieve its investment objective.

Contact Information

Address London EC4N 6AG
Zurich,London 8002
Switzerland
Phone +41 44 208 37 37
Fax +41 44 208 35 00

Top Executives

Name Title Since Until
Alasdair Ross Portfolio Manager 2017 Now
Biography Alasdair Ross is Head of Investment Grade Credit, EMEA, with responsibility for our UK and European investment grade corporate credit teams based in London. Alasdair is lead portfolio manager across various global, euro and UK corporate credit portfolios including Threadneedle (Lux) Global Corporate Bond Fund, CT European Corporate Bond Fund, CT UK Corporate Bond Fund and is also deputy portfolio manager on Threadneedle (Lux) Credit Opportunities. Alasdair’s investment background is as a fundamental, bottom-up, investment grade credit analyst. Between joining the company in 2003 and becoming a portfolio manager in 2007, he had responsibility for covering the TMT, utility and energy sectors, as well as the sterling whole business securitisation sector. Prior to joining the company, Alasdair worked at BP plc in a rotation of commercial roles. Alasdair has a first class honours degree in Politics, Philosophy and Economics from the University of Oxford.He also holds the Chartered Financial Analyst designation.
Tammie Chan Portfolio Manager 2015 2017
Biography Tammie Chan joined Threadneedle in 2012 as a portfolio manager in investment grade fixed income. She is focused on managing funds for institutional insurance accounts. Tammie started her career at PwC, Sydney. She was a consultant working on actuarial premium and liability estimates for insurers. Tammie then joined JPMorgan, New York, where she structured and traded rates and fixed income products for insurance clients and asset managers. Tammie has also worked on solvency 2 projects with Pembroke, a Lloyds agency. Tammie is a Fellow of the Institute of Actuaries Australia. She has a Master of Statistics and Bachelor of Commerce from the University of New South Wales.
David Oliphant Member 1998 2015
Biography David began his career in 1989 with Eagle Star Investment Managers1 as a Sterling Bond analyst. He progressed to managing multi-currency portfolios for Eagle Star and then from 1994, for Threadneedle Asset Management Limited. In 2003, David switched from Government Bonds to Head the Investment Grade Credit team. He is also the portfolio manager of the Threadneedle UK Corporate Bond Fund, Threadneedle US Dollar Bond Fund and co-manages the Threadneedle Strategic Bond Fund. He graduated in 1988 with an honours degree in economics from the University of St Andrews. He holds the Chartered Financial Analyst designation and is also a member of the CFA Society of the UK.
Alasdair Ross Portfolio Manager 2008 2012
Biography Alasdair Ross is Head of Investment Grade Credit, EMEA, with responsibility for our UK and European investment grade corporate credit teams based in London. Alasdair is lead portfolio manager across various global, euro and UK corporate credit portfolios including Threadneedle (Lux) Global Corporate Bond Fund, CT European Corporate Bond Fund, CT UK Corporate Bond Fund and is also deputy portfolio manager on Threadneedle (Lux) Credit Opportunities. Alasdair’s investment background is as a fundamental, bottom-up, investment grade credit analyst. Between joining the company in 2003 and becoming a portfolio manager in 2007, he had responsibility for covering the TMT, utility and energy sectors, as well as the sterling whole business securitisation sector. Prior to joining the company, Alasdair worked at BP plc in a rotation of commercial roles. Alasdair has a first class honours degree in Politics, Philosophy and Economics from the University of Oxford.He also holds the Chartered Financial Analyst designation.
Quentin Fitzsimmons Director 2006 2012
Biography Quentin Fitzsimmons is a portfolio manager in the Fixed Income Division. Prior to joining T. Rowe Price in 2015, Quentin was head of liquidity portfolio investment management, treasury markets, for the Royal Bank of Scotland Group (RBS). Quentin also worked as head of rates and executive director, fixed income, for Threadneedle Investments and held fixed income portfolio management and research roles with Equitable Life Assurance Society and Sun Life Assurance Company of Canada. He earned a B.S. in economics and economic history from the University of Bristol.
Myles Bradshaw Portfolio Manager 2006 2012
Biography Myles Bradshaw, CFA, managing director, is the Head of Global Aggregate Strategies within the Global Fixed Income, Currency and Commodities (GFICC) group. Based in London, he is a portfolio manager focusing on multi-sector bond strategies for both segregated and pooled funds. He has 23+ years of experience managing interest rate, credit, securitized, volatility and foreign exchange rate risks in global portfolios. Myles joins from Amundi, where he was Head of the Global Aggregate Fixed Income team. Before joining Amundi, Myles spent 8 years as a portfolio manager at PIMCO.
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