晉達環球策略基金 - 新興市場股票基金 I 累積股份 (歐元)
31.97歐元0.09(0.28%)
2023/11/29更新
該基金旨在主要透過投資在新興市場組成及/或在其交易所上市的公司,或在新興市場以外地區組成及/或在交易所上市,但其重大部分的經濟活動均在新興市場進行,及/或由在新興市場成立及/或上市的實體控制的公司的股票或股票相關證券,以達致長線資本增值。
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"Varun is co-portfolio manager for the Emerging Markets Equity Strategy and Emerging Markets ex China Equity strategies within the 4Factor team at Ninety One. Based in London, in addition to managing Emerging Markets portfolios, his research responsibilities include covering a number of Technology and Consumer businesses within the region. Prior to joining Ninety One, he was vice president of Asia ex-Japan Equity Sales at Macquarie Capital Securities, and was based in Hong Kong for 5 years. Varun started his career in London at Corporate Value Associates, where he consulted blue-chip corporates in the Financial Services sector. Varun holds an MBA from INSEAD with a specialization in Finance. He earned a degree in Bachelor of Science in Management from the University of Warwick."
何亞錡是天達資產管理四大動力環球股票團隊新興市場股票策略的投資組合經理。他於2008年加入天達資產管理,此前於WestLB Mellon Asset Management工作,負責管理拉丁美洲投資組合及該地區的分析工作。在此之前,何亞錡曾於德意志銀行工作達七年,首先擔任香港地區研究部主管,其後成為地區傳媒行業分析師,最後被派駐倫敦負責向機構投資者推銷德意志的亞洲股票產品。在德意志銀行任職前,何亞錡於香港BZW Asia工作,負責向客戶銷售亞洲股票。他亦曾於香港的高誠證券擔任投資分析師,其後晉升為香港研究部主管及副董事總經理,隨後轉職至銷售團隊。他於倫敦的Royal Life Fund Management開展其事業,當時擔任投資分析師。何亞錡於1986年在謝菲爾德大學畢業,獲頒商業學學位。