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Schroder Sterling Corporate Bond Fund Z Accumulation (0P000011QJ)

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1.77 -0.01    -0.45%
06:00:00 - Closed. Currency in GBP ( Disclaimer )
  • Morningstar Rating:
  • Total Assets: 669.78M
Type:  Fund
Market:  United Kingdom
Issuer:  Schroder Unit Trusts Limited
ISIN:  GB0009379370 
Asset Class:  Bond
Schroder UK Corporate Bond Z Accumulation 1.77 -0.01 -0.45%

0P000011QJ Overview

 
On this page you'll find an in-depth profile of Schroder Sterling Corporate Bond Fund Z Accumulation. Learn about the key management, total assets, investment strategy and contact information of 0P000011QJ among other information.
Category

GBP Corporate Bond

Total Assets

669.78M

Expenses

Inception Date

Aug 11, 1995

Investment Strategy

The Fund aims to provide income and capital growth in excess of the Bank of America Merrill Lynch Sterling Corporate & Collateralised (Gross Total Return) index (after fees have been deducted) over a three to five year period by investing in fixed and floating rate securities issued by UK companies and companies worldwide. The Fund is actively managed and invests at least 80% of its assets in fixed and floating rate securities denominated in sterling (or in other currencies and hedged back into sterling) and issued by UK companies and companies worldwide.

Contact Information

Address 1 London Wall Place
London, EC2Y 5AU
United Kingdom
Phone 0800 182 2399

Top Executives

Name Title Since Until
Julien Houdain - 2021 Now
Biography Julien is a Portfolio Manager in the Global Credit Team. He joined LGIM in September 2007 from Fortis Investments, where he was a Quantitative Strategist in the structured finance team and developed market standard and proprietary models for the pricing and risk management of credit derivatives as well as trading and hedging strategies. Julien has a PhD in Financial Modelling from the Ecole Normale Superieure, Paris, France.
Daniel Pearson Portfolio Manager 2021 Now
Biography Daniel Pearson is a Credit Portfolio Manager who Joined Schroders from Cazenove in 2013. He has a focus on IG and HY auto, Business Services and Property sectors. Qualifications: BSc Business Administration from Bath University, ACCA and IMC.
Jonathan Golan Portfolio Manage1 2017 2021
Biography Jonathan Golan is a portfolio manager at Man GLG, focusing on corporate bond and dynamic credit strategies. Prior to joining Man GLG in July 2021, Jonathan was a fund manager at Schroders. He joined Schroders in 2013. Jonathan has an MSc in Financial Economics from Oxford University and a BA in Economics from The Hebrew University.
Alex Smitten Member 2008 2017
Biography Alexander joined Cazenove in 2000 and is a member of the fixed income team and in charge of establishing the UK economic outlook and investment policy for segregated and pooled gilt portfolios. He manages the Cazenove Sterling Bond Fund and The Income Trust for Charities, a UK authorised Common Investment Fund. While at Intercapital, Alex set up the gilt agency broking desk. With a degree in Banking and International Finance from the City University he has 19 years of investment experience.
Christopher Greaves Member, Manager 2007 2008
Biography Christopher joined Cazenove in 2002 and is a member of the fixed income team with specific responsibility for credit and is manager of the UK Corporate Bond Fund. Christopher joined from West LB where his position was Director and corporate credit risk manager. Having qualified as a Chartered Accountant with KPMG in London, he moved into corporate credit working for Swiss Bank Corporation and then Royal Bank of Scotland as a senior credit analyst. He has 15 years of credit analysis experience.
Peter Harvey Senior Fund Manager 2006 2007
Biography Peter Harvey is a Senior Fund Manager at Schroders, which involves helping manage the European and Global Credit Fixed income management strategy. He joined Schroders in 2005 and is based in London. Peter was Head of the Cazenove Capital European credit team at Cazenove Capital from 2005 to 2013, responsibilities included credit strategy and management of the Cazenove UK Corporate Bond Fund. Peter joined F&C Asset Management in 1994. He had multiple roles with the group which included running funds that covered emerging market corporate bonds, high yield and distressed debt and culminating in Director, UK Credit. Qualifications: MA in Management and International Relations from St Andrews University.
Christopher Greaves Member, Manager 2005 2005
Biography Christopher joined Cazenove in 2002 and is a member of the fixed income team with specific responsibility for credit and is manager of the UK Corporate Bond Fund. Christopher joined from West LB where his position was Director and corporate credit risk manager. Having qualified as a Chartered Accountant with KPMG in London, he moved into corporate credit working for Swiss Bank Corporation and then Royal Bank of Scotland as a senior credit analyst. He has 15 years of credit analysis experience.
Michel Gonnard Head 1997 2005
Biography Michel joined Cazenove in 1997 and is head of Fixed Income, member of the Strategy Group and manager of the Cazenove UK Corporate Bond Fund. He has 17 years of experience in managing bond portfolios of insurance and reinsurance companies, central banks and pension funds. Before, in Barclays Global Investors he was a director and part of the global investment team. Michel has a BA from Grenoble and MA from Sussex Universities in Economics, and MBA in Finance from City University Business School.
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