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L’objectif de placement du Fonds d’obligations canadiennes Idéal est d’obtenir des rendements maximums en investissant principalement dans les titres à revenu fixe de sociétés, les titres adossés à des créances mobilières et les obligations d’État qui sont de la plus haute qualité et qui offrent la meilleure liquidité possible sur le marché.
Nom | Titre | Depuis | Jusqu’à |
---|---|---|---|
Roshan Thiru | Senior Portfolio Manager | 2019 | Maintenant |
Biographie | Roshan Thiru, CFA, is a senior managing director and head of the Canadian Fixed Income team at Manulife Investment Management. In this role, he is responsible for the Toronto and Montreal-based Fixed Income and Money Market teams who manage client portfolios in actively-managed Canadian fixed income strategies, including fixed income balanced and other customized mandates. Previously Roshan was a senior portfolio manager focusing on investment grade corporate debt mandates. Prior to joining Manulife, he was a lead analyst with DBRS, covering the energy, project finance, and utility sectors. | ||
Ara Froundjian | Portfolio Manager | 2014 | Maintenant |
Biographie | Ara Froundjian, CFA, is a managing director and portfolio manager with the Canadian Fixed Income Team at Manulife Investment Management. His duties include contributing to the management of the team’s short term bond portfolios as well as taking an active role in the team’s yield curve, duration posturing and government bond positioning. Ara joined Manulife Asset Management when Standard Life's Canadian operations were acquired by Manulife in January 2015. Education: Concordia University – John Molson School of Business, B.Comm, 2006 Joined Company: 2015 Began Career: 2007 | ||
Marc Rouleau | Vice President | 2006 | Maintenant |
Biographie | As Vice-President, Fixed Income, Marc Rouleau specializes in government bond management and is responsible for the provincial bond strategies. He is the lead portfolio manager of the Standard Life Investments Inc. Long Term Bond Fund and Tactical Bond Fund, also playing a key role in FTSE TMX Canada universe mandates. He is a member of our global operation’s bond investment group. Marc joined Standard Life Investments Inc. in 2001, with five years of industry experience. In 2006 Marc was appointed as Portfolio Manager, Research and Trading, and in 2010 he was promoted to his current position. | ||
Jean-Pierre D’Agnillo | Vice President | 2006 | Maintenant |
Biographie | Jean-Pierre D’Agnillo, CFA, is a managing director and senior portfolio manager with the Canadian Fixed Income Team at Manulife Asset Management. Jean-Pierre is responsible for corporate bond management for client portfolios and is the lead manager for several former Standard Life Investment funds. He joined Manulife Asset Management when Standard Life's Canadian operations were acquired by Manulife in January 2015. He joined Standard Life Investments in 1999 as a bond and money market trader. Education: Université du Québec à Montréal, BBA, 1993 Joined Company: 2015 Began Career: 1990 | ||
Michel Pelletier | Other Executives | 2003 | Maintenant |
Biographie | As Senior Vice-President, Fixed Income, Michel Pelletier leads the Fixed Income team and is responsible for all government bonds, corporate bonds, private placements and money market portfolios. A key member of the Asset Mix Strategy and Investment Governance Committees, Michel contributes interest rate forecasts and asset mix recommendations. Michel joined Standard Life Investments Inc. in 2003 in his current role after 18 successful years in the investment industry. Michel holds a Bachelor’s degree from McGill University and a Master’s degree in Economics from Université de Montréal. | ||
Management Team | - | 1986 | 2003 |
Biographie | Team Managed |
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