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L’objectif de ce compartiment est de procurer aux actionnaires un rendement global aussi élevé et stable que possible en associant la gestion active d’un portefeuille obligataire à la sélection- rigoureuse des meilleurs gérants de hedge funds, tout en contrôlant le niveau de risque global le plus faible possible par le biais d’une allocation stable en (1 hedge funds >> et en fonds de 11 hedge funds >>. Ce compartiment investit principalement ses actifs en obligations internationales a taux fixes et variables de statut (( investment grade >>.
Nom | Titre | Depuis | Jusqu’à |
---|---|---|---|
Li Tao | - | 2018 | Maintenant |
Eric Plantier | European Fixed Income team | 2014 | Maintenant |
Biographie | Eric Plantier is responsible for investment grade credit portfolio management with BNP Paribas Asset Management’s European Fixed Income team. In particular, he defines the issuer list with spread targets, and adds value with tactical trading. Eric joined BNP Paribas Asset Management in 2006 as a senior portfolio manager specialised in credit. He previously worked as a fixed income manager at Sogeposte, where he was Head of the Corporate Bond team (2000 – 2006). Prior to this, he was a corporate bond trader at Credit Agricole Indosuez (2000), ABN AMRO (1998 – 1999), Union des Banques Suisses (1994 - 1998) and Credit Commercial de France (1988 – 1993). | ||
Vito Cavaliere | - | 2014 | 2018 |
Bart Van Poucke | Head | 2011 | 2014 |
Biographie | Bart Van Poucke Head of Target Allocation BENELUX & UK, BNP Paribas Asset Management Bart has been Head of Portfolio Management for Benelux within our Multi Asset Solutions team (now MAQS) since 2007, and within the new MAQS structure, he is now Head of Target Allocation, Benelux & UK. In this role, he oversees a team of five portfolio managers and is the lead portfolio manager for our BNP Paribas B Pension funds as well as a number of other flagship products. Bart joined Fortis Investments, a predecessor company of BNP Paribas Asset Management, in 2001 as a GIPS & Performance Measurement Specialist for the Performance and Risk team. Bart holds a Master’s degree in Banking and Finance from the University of Ghent in Belgium. Bart is based in Brussels. |
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