聯博-亞洲收益機會基金S1級別美元
118.72美元0.01(0.01%)
2024/10/31更新
透過收益隨時間增加閣下的投資價值,同時尋求資本 保值。在正常市場狀況下,本基金通常將其至少70%的資產投資於在亞洲已發展國家及新興市場成立或有大量業務活動的發行人之美元計價債務證券。此等債務證券可能低於投資級別。
大型 | |||
---|---|---|---|
中型 | |||
小型 | |||
價值型 | 均衡型 | 增長型 |
Senior Vice President of the Adviser since 2023. Prior thereto, he was head of fixed income and portfolio manager at Harvest Global Investments, responsible for renminbi, Hong Kong–dollar and US-dollar fixed-income strategies.
Portfolio Manager—Asia Fixed Income Diwakar Vijayvergia is a Senior Vice President and Portfolio Manager on the Asia Fixed Income team, focusing on Asia Pacific and emerging-market fixed-income strategies. Prior to this he was a senior credit analyst on AB’s Credit Research team specializing in Southeast Asia and India corporate credit. Vijayvergia has worked as a credit analyst since 2006 and has covered multiple regions, sectors and capital structures. Before joining the firm in 2018, he was a senior vice president and head of credit strategy at Jefferies International, focusing on high yield and distressed credit in Asia. Prior to that, Vijayvergia was a senior desk analyst for eight years at RBS, covering global distressed opportunities, private financing and performing credits. He holds a BCom (honors) in accountancy from the University of Calcutta and an MBA in finance from the Indian Institute of Management. Location: Singapore
Christian DiClementi is a Vice President and Portfolio Manager at AB, focusing on local-currency emerging-market debt portfolios. He is a member of the Emerging Market Debt and Global Fixed Income portfolio-management teams, and a member of the Emerging Market Debt Research Review team. Prior to joining the Emerging Market Debt portfolio-management team in early 2013, DiClementi served as a member of the Economic Research Group, focusing mainly on sovereign fundamental research for the Caribbean, Central American and Latin American regions. Previously, he worked as an analyst in the firm’s Quantitative Research Group, focusing primarily on global sovereign return and risk modeling. DiClementi joined AB in 2003 as an associate portfolio manager, responsible for New York–based municipal bond accounts. He holds a BS in mathematics (summa cum laude) from Fairfield University. Location: New York