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Jpm Global (ex-uk) Bond Fund I - Gross Accumulation (0P000023PV)

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1.69 -0.01    -0.35%
26/04 - Closed. Currency in GBP ( Disclaimer )
  • Morningstar Rating:
  • Total Assets: 413.45M
Type:  Fund
Market:  United Kingdom
Issuer:  JP Morgan Asset Management (UK) Ltd
ISIN:  GB0031835449 
Asset Class:  Bond
JPM Global ex-UK Bond Fund I Gross Accumulation 1.69 -0.01 -0.35%

0P000023PV Overview

 
On this page you'll find an in-depth profile of Jpm Global (ex-uk) Bond Fund I - Gross Accumulation. Learn about the key management, total assets, investment strategy and contact information of 0P000023PV among other information.
Category

Global Bond - GBP Hedged

Total Assets

413.45M

Expenses

0.74%

Inception Date

Nov 05, 1979

Investment Strategy

To provide income with the prospect of capital growth from investment anywhere in the world, including emerging markets, in non-Sterling denominated bonds in any economic sector. At least 80% of assets invested in a broad range of investment grade government securities (outside the UK). The Fund may invest up to 100% in government and public securities. The Fund may also invest in other bonds including below investment grade bonds and corporate bonds.

Contact Information

Address 60 Victoria Embankment
London, EC4Y 0JP
United Kingdom
Phone -

Top Executives

Name Title Since Until
Iain T. Stealey Portfolio Manager 2020 Now
Biography Iain Stealey, CFA, Managing Director, is the International Chief Investment Officer and 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 clients and pooled funds. Within the Global Aggregate team, Iain was previously responsible for the portfolio management of enhanced cash and short duration portfolios. An employee since 2002, he obtained a B.Sc. in Management Science from Loughborough University.
Séamus Mac Góráin - 2016 Now
David Tan - 2008 2020
Biography David Tan, managing director, is the head of the Global Rates team in the Global Fixed Income, Currency & Commodities (GFICC) group. In this role, he also serves as the lead portfolio manager in the International Fixed Income Group, managing government bond portfolios for institutional clients, in particular Central Banks and Sovereign Wealth Funds, as well as our range of Government Bond Funds. An employee since 1997, he previously worked in the Singapore office. David has also worked for six years at the UK Treasury as an economic adviser in the Debt and Reserves Management Division. Before this, David worked in the fixed income markets with Morgan Guaranty Trust in Singapore. David obtained an M.A. in economics from the University of Cambridge and an M.Sc. in economics from the London School of Economics.
Julien Tisserand - 2019 2019
Dirk Frohnert - 2008 2016
Seamus S. Brown Portfolio Manager 2007 2009
Biography Seamus S. Brown, vice president, is a portfolio manager in the International Fixed Income Group. Seamus focuses on global fixed income strategies, with specialisation in the inflation-linked sector. An employee since 1999, Seamus previously worked as a portfolio manager within the US Institutional Portfolio Management Group, responsible for credit-constrained Core and Short-Duration mandates. Seamus earned a B.A. in political science and economics from Johns Hopkins University and studied at the London School of Economics as a Hansard Scholar.
Jon B. Jonsson Managing Director 2007 2009
Biography Jon Jonsson is a Managing Director of Neuberger Berman Europe Limited . He joined the firm in 2013. Mr. Jonsson is a Senior Portfolio Manager for the Global Fixed Income strategies and is a member of the Investment Grade Fixed Income Senior Portfolio Management Strategy Team. Prior to joining the firm, Jon was employed by another investment firm for 15 years where he worked in similar capacities.
Julian Le Beron Managing Director 2002 2009
Biography Julian Le Beron, CFA, is a Managing Director and Head of Developed Markets with AllianzGI U.S. Mr. Le Beron joined the firm in 2016 following the acquisition and integration of Rogge Global Partners, which he joined in 2011. Mr. Le Beron is responsible for overseeing the global government and global aggregate fixed-income strategies. Mr. Le Beron has 25 years of investment industry experience and has a BSc in Management from the London School of Economics and Political Science. Mr. Le Beron also is a CFA charterholder and a member of the CFA Society of the UK.
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