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Schroder Gaia Two Sigma Diversified C Accumulation Chf Hedged (0P00018MMK)

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124.990 +0.700    +0.56%
26/11 - Delayed Data. Currency in CHF
  • Morningstar Rating:
  • Total Assets: 393.86M
Type:  Fund
Market:  Luxembourg
Issuer:  Schroder Investment Management Lux S.A.
ISIN:  LU1429039891 
Asset Class:  Other
Schroder GAIA Two Sigma Diversified C Accumulation 124.990 +0.700 +0.56%

0P00018MMK Overview

 
On this page you'll find an in-depth profile of Schroder Gaia Two Sigma Diversified C Accumulation Chf Hedged. Learn about the key management, total assets, investment strategy and contact information of 0P00018MMK among other information.
Category

Multistrategy Other

Total Assets

393.86M

Expenses

1.85%

Inception Date

Aug 24, 2016

Investment Strategy

The Fund aims to provide a positive return after fees have been deducted over a three year period by investing in equity, equity related securities, fixed and floating rate securities and currencies worldwide. The Fund is actively managed and invests directly (through physical holdings) and/or indirectly (through derivatives) in equity and equity related securities, fixed and floating rate securities and currencies worldwide, as well as in Investment Funds investing in such instruments.

Contact Information

Address Sennigerberg
Luxembourg, L-1736
Luxembourg
Phone +352 341 342 202
Fax +352 341 342 342

Top Executives

Name Title Since Until
Ben Yospe Portfolio Manager 2021 Now
Biography Ben Yospe joined Two Sigma in 2015 and currently serves as the Portfolio Manager for Two Sigma Macro Portfolio, LLC, Two Sigma Macro Risk Premia Portfolio, LLC, and Schroder GAIA Two Sigma Diversified Fund. As part of his portfolio management responsibilities, Mr. Yospe oversees the day-to-day portfolio activities and research focused on enhancements to the investment process. Mr. Yospe previously held various roles at the firm where his responsibilities have included portfolio management activities and research, in addition to macro modeling. Prior to joining the firm, Mr. Yospe worked at AQR Capital Management as a global macro research associate where he performed a wide range of both portfolio implementation research and macro returns forecasting. Prior to that, Mr. Yospe served as an investment analyst at DC Energy. Mr. Yospe holds a master’s degree and bachelor’s degree in applied mathematics and statistics from Johns Hopkins University.
Geoff Duncombe - 2016 2021
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