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Mar 30, 2012
The sub-fund invests for high income primarily in a diversified portfolio of higher yielding fixed income bonds and other similar securities from around the world denominated in a range of currencies, while promoting ESG characteristics within the meaning of Article 8 of SFDR. The sub-fund aims to do this with a higher ESG rating than the Bloomberg Global Aggregate Corporate USD Hedged (the “Reference Benchmark”), calculated as a weighted average of the ESG ratings of the issuers of the sub-fund’s investments, versus the weighted average of the ESG ratings of the Reference Benchmark constituents. The weighted averages of the ESG ratings for both the sub-fund and Reference Benchmark will be calculated at sub-fund and asset class level, which enables the sub-fund’s ESG performance to be evaluated at sub-fund or asset class level.
Name | Title | Since | Until |
---|---|---|---|
Jean-Olivier Neyrat | Portfolio Manager | 2010 | Now |
Andrew Jackson | senior fund manager | 2010 | Now |
Biography | Andrew Jackson has overall responsibility for portfolio management and trading activities within the ABS Investments Team. He has been working in the industry since 1989. Prior to joining HSBC in 2002, Andrew worked as a fund manager at Abbey National Treasury Services, a Securitization Originator, Advisor and Lender at Rothschild and as an auditor and consultant at Arthur Andersen. He holds a BA in Economics from Exeter University and is an Associate of the Institute of Chartered Accountants. | ||
Jaymeson Paul Kumm | - | 2010 | Now |
Ricky Liu | - | 2010 | Now |
Jerry Samet | Senior Portfolio Manager | 2010 | 2023 |
Biography | Mr. Samet is a Senior Portfolio Manager for US Fixed Income portfolios. He joined HSBC Global Asset Management in February 1996. Prior to joining HSBC, Mr. Samet worked for Bankers Trust in the Investment Management Group for 8 years. He was a portfolio manager/trader for eight years and has been working in the industry since 1988. Mr. Samet has a BA in Economics and History from The City University of New York and an MBA in Finance, with a concentration in portfolio management from Fordham University. | ||
Guy Dunham | Trader | 2011 | 2012 |
Biography | Guy Dunham is a strategist and lead portfolio manager in the International Fixed Income Group. He focuses on pan-European bond strategies, and is heads of the European, UK and Global ex-US Portfolio Management Team. An employee since 1997, he previously managed a range of European and global fixed income portfolios. Prior to this, he spent five years at Lazard Asset Management where he was initially a member of the Performance and Risk Analysis Team, before moving to the Fixed Income desk, where he covered global bond markets. Before Lazard, Guy worked as an actuarial associate in the Employee Benefits division of Towers Perrin. He obtained an MA (Hons) in Mathematics from Cambridge University. |
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