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112,85M
0,59%
19/03/1993
L'objectif de gestion du FCP est d’obtenir, sur la période de placement recommandée supérieure à trois ans, une performance nette de frais supérieure ou égale à celle de l’indice composite 50% JPM EMU ex PERIPHERAL + 50% Bloomberg Euro-Aggregate Government-Related TR Index Value Unhedged EUR utilisé à titre de comparaison de la performance, en investissant au moins 75% de son actif net dans des obligations vertes libellées en euros soutenant des projets liés au climat et à l’environnement et émises par des gouvernements, des agences, des émetteurs supranationaux, des entités locales et/ou des entreprises.
Nom | Titre | Depuis | Jusqu’à |
---|---|---|---|
Cedric Scholtes | Portfolio Manager | 2020 | Maintenant |
Biographie | Cedric Scholtes. Mr. Scholtes is Portfolio Manager and responsible for the day-to-day management of the American Independence U.S. Inflation-Protected Fund. He joined FFTW in June 2006 as a portfolio manager in the Governments and Inflation Team. He manages interest rate businesses with an emphasis on FFTW's central bank portfolios. Mr. Scholtes came from Goldman Sachs where he was a vice president in the Inflation Trading Group, Fixed Income Commodities & Currencies Division. His responsibilities included formulating and implementing trading strategies, making markets in inflation-linked securities and building inflation-market analytical tools. Before Goldman Sachs, he spent six years as a trader/analyst at both the Bank of England, where he worked on the Foreign Exchange Reserves Management Staff, and the Federal Reserve Bank of New York on the Treasury Market Policy Staff. Mr. Scholtes holds a Masters degree in Finance and Economics from Warwick Business School, a Masters in Economics from the London School of Economics, and an M.A./B.A. in economics from the University of Cambridge. | ||
Alberto Talero | - | 2020 | Maintenant |
Arnaud-Guilhem Lamy | - | 2013 | 2020 |
Claude Guérin | Senior Portfolio Manager | 2012 | 2020 |
Biographie | Claude Guerin is a Senior Portfolio Manager for BNP Paribas Asset Management. He is specialised in managing yield curve strategies for the European Fixed Income team and is responsible for the liaising with the Research and Strategy team, notably concerning geographical bloc allocations.He joined BNP Paribas Group in 1991, initially joining Courcoux Bouvet (a BNP Paribas brokerage subsidiary). In 1995 he moved to BNP Paribas Asset Management’s French Fixed Income team, where he was responsible for French bond investments. He previously worked as bond manager for Banque West LB (Franco-Allemande, 1990 - 1991) and held a similar position with a subsidiary of MAAF, a French mutual insurance company (1985 – 1990). He began his career with Credit Mutuel du Sud-Ouest in 1982.Claude graduated from the Ecole Superieure de Commerce Administration des Entreprises (ESCAE/ Poitiers, France, 1981). |
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