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Le Compartiment a pour objectif de réaliser une croissance du capital à long terme en tirant parti des opportunités d’investissement particulières qui s’ouvrent en Europe. Le Compartiment investira en toutes circonstances au moins 50 % du total de ses actifs (liquidités exclues) dans des actions ou dans d’autres titres rattachés à des actions et droits de participation. Le Compartiment investira en toutes circonstances au moins deux tiers du total de ses actifs (liquidités exclues) en valeurs d’émetteurs dont le siège social se trouve en Europe ou qui exercent la plupart de leurs activités en Europe (Royaume-Uni inclus) et qui, de l’avis du Gestionnaire de portefeuille, sont sous-évaluées ou qui offrent par ailleurs de bonnes perspectives de croissance. Le Gestionnaire de portefeuille adoptera essentiellement une approche ascendante pour sélectionner les placements du Compartiment et il ne sera pas tenu d’investir dans des sociétés figurant dans l’indice de référence.
Nom | Titre | Depuis | Jusqu’à |
---|---|---|---|
Mark Heslop | Portfolio Manager | 2019 | Maintenant |
Biographie | Mark Heslop joined Jupiter in September 2019 as a European equity manager and smaller companies specialist. He also currently co-manages Jupiter Eurozone Equity fund (SICAV), Jupiter European Opportunities fund (SICAV) and Jupiter European Special Situations fund (UT). Prior to joining Jupiter, Mark was an equity fund manager at Colombia Threadneedle for 11 years where he managed a global smaller companies fund and a European smaller companies fund. He began his investment career as a chemicals and industrials analyst at Citi in 1999. Mark has a degree in Chemistry from Durham University and is also a Chartered Accountant. | ||
Mark Nichols | Portfolio Manager | 2019 | Maintenant |
Biographie | Mark Nichols joined Jupiter in July 2019 to manage the Jupiter European Fund (Unit Trust) and the Jupiter European Growth fund (SICAV). He also currently co-manages Jupiter Eurozone Equity fund (SICAV), Jupiter European Opportunities fund (SICAV) and Jupiter European Special Situations fund (UT). Prior to joining Jupiter, Mark managed European equity portfolios at Columbia Threadneedle and before that at BMO Global Asset Management (F&C). He began his investment career in the European equities team at Invesco in 2001. | ||
Alexander Darwall | Chief Investment Officer | 2007 | 2019 |
Biographie | Alexander Darwall is the Chief Investment Officer of Devon Equity Management Limited, which he founded in 2019. He was formerly head of strategy for European equities at Jupiter Asset Management, where he worked from 1995 to November 2019. He has been the lead portfolio manager to European Opportunities Trust PLC since its launch in November 2000. Before joining Jupiter, Alexander trained as an investment analyst with de Zoete & Bevan (BZW) before moving in 1987 to Enskilda Securities in Paris, where he became head of French equity research. He joined Goldman Sachs in London in 1992, where he worked as a French equity analyst. Alexander has a degree in History from Cambridge University. | ||
Malcolm Millar | Portfolio Manager | 2001 | 2007 |
Biographie | Malcolm Millar joined Jupiter in 2002. He has managed Pan-European funds since May 2003. Malcolm has managed the Jupiter European Income Fund (Unit Trust) since May 2007, and has also been Lead Manager of the Jupiter Global Equities SICAV since its inception in September 2009. Malcolm qualified as a Chartered Accountant in PricewaterhouseCoopers' middle market division before working on PwC's Public Company Corporate Finance Advisory Team. Malcolm gained a degree in PPE from Oxford University and holds the Securities Institute Diploma. |
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