Merci d'essayer une autre recherche
Le Fonds a pour objectif une appréciation à long terme du capital. Le Fonds entend investir principalement en actions de sociétés européennes. Le Fonds est géré au moyen de « méthodes quantitatives ». Nous définissons les « méthodes quantitatives » comme les techniques mathématiques, logiques et statistiques appliquées à la sélection des titres. Dans le respect de ses objectifs, le Fonds fait l'objet d'une gestion active sans qu'aucune contrainte ne lui soit imposée par un indicateur de référence. Vous pouvez acheter et vendre des actions du Fonds chaque Jour Ouvrable au Luxembourg (tel que défini dans le Prospectus). Tout revenu découlant de votre investissement sera versé annuellement.
Nom | Titre | Depuis | Jusqu’à |
---|---|---|---|
Viorel Roscovan | Portfolio Manager | 2023 | Maintenant |
Biographie | Viorel Roscovan is Portfolio Manager within the Factor Investing Equities team and is responsible for Value-, Momentum-, Quality- and Multi-Factor portfolios. His areas of expertise include factor research, stock selection and portfolio construction. Prior to joining Robeco in May 2015, Viorel was an Assistant Professor of Finance at the Rotterdam School of Management. He was awarded the Young Talent Fellowship from Erasmus Research Institute of Management and won the Best Professor Award in 2013 and 2014 for his Macroeconomics course. In 2007, he was awarded the prestigious Lamfalussy Fellowship from the European Central Bank. He specializes in theoretical and empirical asset pricing and has published his academic work in peer-reviewed journals and presented at top finance conferences. Viorel holds a PhD and a Master's in Finance from Tilburg University, and a Master's in Economics from Center for Economic Research and Graduate Education in Prague. | ||
Tim Herzig | - | 2023 | Maintenant |
Manuela von Ditfurth | Portfolio Manager | 2023 | Maintenant |
Biographie | Manuela Von Ditfurth, Portfolio Manager,has been associated with Invesco Deutschland and/or its affiliates since 1998. | ||
Alexander Uhlmann | - | 2021 | 2023 |
Thorsten Paarmann | Product Manager | 2007 | 2023 |
Biographie | Before joining INVESCO in November 2004, Thorsten was a product manager for institutional pooled funds at Cominvest Asset Management GmbH. He received a “Diplom Kaufmann (FH)” degree from Berlin School of Economics and Anglia Business School, Cambridge within the Combined European Study Program. Thorsten is a CFA charterholder and member of the German Association of Investment Professionals. | ||
Michael Fraikin | Analyst | 2002 | 2021 |
Biographie | Michael joined INVESCO in 1997 as portfolio manager for European equities and became head of European equities in 1999 and head of equities in 2000. With the formation of the European Structured Products Group in 2001, Michael assumed his current role. He began his investment career in 1991 with Commerzbank as analyst in the buy side research for European equities. | ||
Chrysoula Zervoudakis | Portfolio Manager Trainee, managing UK equity assignments | 2000 | 2002 |
Biographie | Chrysoula joined Guardian Asset Management in 1986 as a trainee portfolio manager, primarily managing UK equity assignments. In 1995 she joined INVESCO's European team with a continued focus on the UK. Her areas of focus broadened in 1999 to include Continental and Pan European investment assignments. Chrysoula received a BSocSc (Hons) in Economics from Birmingham University in 1986 and also has an MBA from Manchester Business School. |
Voulez-vous vraiment bloquer %USER_NAME% ?
Si vous continuez, vous et %USER_NAME% ne verrez plus vos publications Investing.com mutuelles.
%USER_NAME% a bien été ajouté à votre Liste d’utilisateurs bloqués
Vous venez de débloquer cette personne et devrez attendre 48 heures avant de la bloquer de nouveau.
Je souhaite signaler ce commentaire comme:
Merci
Le commentaire signalé sera révisé par nos modérateurs