聯博-永續歐元非投資等級債券基金AA(穩定月配)澳幣避險級別
10.24澳幣0.03(0.29%)
2023/03/29更新
本基金的投資目標是透過收益和資本增值相結合獲得高額總回報。投資管理人預計,在任何時候,對投資級以下(認購時)高收益債券的投資不低於基金淨資產的50%,而且本基金至少三分之二的淨資產將綜合投資於此等低於投資級的債券和投資管理人認為具有理想的高收益特點和/或潛在整體高回報率(認購時)的投資級債券。本基金對新興市場主權債券的投資,不論其評等如何,不得超過基金總資產的20%。本基金的目標是,結合證券分析和選擇、產業配置和國家選擇以及基金資產內非以歐元計價或對沖為歐元的資產部分的貨幣導向決策,獲取回報。本基金至少有85%的持股以歐洲貨幣計價或對沖為歐洲貨幣。
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Vivek Bommi, a Senior Vice President, is Head of European Fixed Income and Director of European and Global Credit at AB. In these roles he leads AB’s European/UK Fixed Income, European Income, Euro High Yield, Euro Credit, Financial Credit and Global Credit teams. Bommi has more than 20 years of investment experience, with a background in both research and portfolio management. Prior to joining AB in 2021, he served as head of European Non-Investment Grade at Neuberger Berman, leading the teams managing European high-yield, loan and collateralized loan obligation portfolios, and global high-yield strategies. Bommi was also a member of Neuberger Berman’s Credit Committee for Non-Investment Grade Credit and the Fixed Income Investment Strategy Committee. He previously served as director of Non-Investment Grade Research. Earlier in his career, Bommi worked in leverage finance at The Carlyle Group and Bank of America. He holds a BS in finance from the University of Illinois at Urbana-Champaign and an MBA from Columbia Business School at Columbia University. Bommi is a CFA charterholder and a Certified Public Accountant. Location: London
Mr. Kjaersgaard currently serves as a Portfolio Manager for European Credit and a member of the UK & Euro, High Yield and Credit portfolio management teams. Mr. Sanders joined AllianceBernstein in 2006. Mr. Buckley currently serves as a Portfolio Manager for Fixed Income, focusing on euro and sterling investment-grade credit and multi-sector portfolios. He joined the firm in 2010 and assumed the role of Portfolio Manager in January 2015.