本基金透過投資於 OECD、歐盟、巴西、中華 人民共和國（含香港與澳門特別行政 區）、印度、印尼及南非債券市場中以 OECD 國家貨幣計價且以綠色債券為 重心的投資等級債務證券，以獲取長期 資本增值。綠色債券的發行機構進行環 境解決方案及/或支援工作，以降低其本 身的環境足跡。
Mr. Bras is a fixed income portfolio manager with Allianz Global Investors, which he joined in 2005. As a member of the corporate credit team, he is responsible for managing fixed income portfolios with a specific focus on responsible investment strategies. Mr. Bras was previously an ESG analyst with Allianz Global Investors for five years and was in charge of covering the banking sector, as well as non-corporate issuers, including sovereigns, agencies and supranationals. Before that, he was a budget controller with the firm. Mr. Bras has a master’s degree from Skema Business School, France.
Mr. Dejonghe is a fixed income portfolio manager, analyst and director with Allianz Global Investors, which he joined in 2011. Prior to joining Allianz Global Investors, Mr. Dejonghe was a fixed income fund manager at Candriam (ex Dexia AM) for six years, as well as a credit and counterparty risk analyst at Caylon Americas for two years in New York. Mr. Dejonghe holds a master’s degree in Finance from the Université Paris Dauphine and a master’s degree in Mathematics from the Université Paris VI Jussieu. He is a CFA charterholder.