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Allianz Global Investors Fund - Allianz Strategic Bond At H2 Eur (0P0001IQS0)

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84.680 -0.510    -0.60%
17/05 - Closed. Currency in EUR ( Disclaimer )
  • Morningstar Rating:
  • Total Assets: 17.37M
Type:  Fund
Market:  Luxembourg
ISIN:  LU2066004206 
Asset Class:  Bond
Allianz Global Investors Fund - Allianz Strategic 84.680 -0.510 -0.60%

0P0001IQS0 Overview

 
On this page you'll find an in-depth profile of Allianz Global Investors Fund - Allianz Strategic Bond At H2 Eur. Learn about the key management, total assets, investment strategy and contact information of 0P0001IQS0 among other information.
Category

Global Flexible Bond - EUR Hedged

Total Assets

17.37M

Expenses

1.15%

Inception Date

Nov 20, 2019

Investment Strategy

Long term capital growth by investing in global bond markets. The investment policy is geared towards generating appropriate annualised returns above the markets based on global government and corporate bonds by taking into account the opportunities and risks of a strategy in long and short positions in the global Bond Markets. The Sub-Fund invests in the following asset classes: Interest Rates, Currencies, Inflation and Credit. Within these areas, the Sub-Fund will be wholly unconstrained in terms of product and region.

Contact Information

Address L-2633 Senningerberg
Frankfurt am Main, 60323
Germany
Phone +49 (0) 69 2443-1140
Fax Milano

Top Executives

Name Title Since Until
Ravin Seeneevassen - 2021 Now
Biography Ravin Seeneevassen is a senior portfolio manager, having joined Allianz GIobal Investors in June 2021, and is the deputy portfolio manager of Allianz Index-Linked Gilt Fund, co-deputy portfolio manager of Allianz Strategic Bond Fund and co-lead portfolio manager of Allianz Fixed Income Macro Fund. Ravin was previously a partner and portfolio manager at LindenGrove Capital, a London-based global macro hedge fund. He brings a wealth of experience in terms of global rates and FX trading, accumulated both at LindenGrove and beforehand on the Nomura cross-asset trading desk. Ravin also brings additional inflation expertise, having started his career at Lehman Brothers as a market-making inflation trader in 2006. Ravin graduated top of his cohort with a Masters in Engineering, Economics and Management from the University of Oxford, and most recently completed a Masters in Machine Learning from Royal Holloway University of London.
Joe Pak - 2021 Now
Biography Joe Pak is a portfolio manager, having joined Allianz GIobal Investors in August 2021, and is the deputy portfolio manager of Allianz Gilt Yield Fund, co-deputy portfolio manager of Allianz Strategic Bond Fund and co-lead portfolio manager of Allianz Fixed Income Macro Fund. He joined from Rothesay Life, the UK’s largest pensions insurance specialist. Joe joined Rothesay in 2017, where he was lead portfolio manager on a €2bn European periphery bond portfolio and lead portfolio manager on the firm's macro absolute return portfolio which he launched in 2019. He comes with extensive experience in trading a broad range of derivatives, both at Rothesay where he oversaw macro/solvency options strategies and in his previous position as a trader on RBS’ US rates options desk. Joe graduated with degrees in Economics and Sociology from Duke University in 2012 and is a CFA® charterholder.
Mike Riddell Senior Portfolio Manager 2019 Now
Biography Mike Riddell joined Allianz Global Investors in October 2015 as a fixed income portfolio manager and is the original member and Head of the Macro Unconstrained team. He has 21 years’ experience in fixed income having worked with M&G in London for 12 years, running bond portfolios, and prior to that at Premier Asset Management. As well as depth of experience, Mike’s experience is broad, having run a range of UK and global fixed income portfolios over his career, covering both developed markets and emerging markets. Mike graduated from Birmingham University in 2001 with a BSc (Hons) in money, banking and finance, and is a CFA® charter holder.
Jack Norris - 2021 2021
Biography Jack is an Associate Portfolio Manager on the Macro Unconstrained Fixed Income team, where he conducts global macro research and screens for relative value opportunities. Having previously interned at Allianz Global Investors in Hong Kong and at Jupiter Asset Management in London, Jack joined the team at Allianz Global Investors in July 2016. Jack holds a First Class Honours BSc in International Relations and an MSc with Merit in International Political Economy from the London School of Economics. He has passed his CFA level three exam and is a CFDS
Kacper Brzezniak - 2019 2021
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