貝萊德環球企業債券基金Hedged A6 日圓 (穩定配息)
936.00日圓2(0.21%)
2024/12/27更新
環球企業債券基金以盡量提高總回報為目標。基金將其至少70%的總資產投資於全球各地公司所發行的投資級企業定息證券。基金最多可以20%投資於資產抵押證券及按揭抵押證券,不論是否屬投資級。基金在或然可換股債券的投資以總資產的20%為限。基金在財困證券的投資以其總資產的10%為限。
大型 | |||
---|---|---|---|
中型 | |||
小型 | |||
價值型 | 均衡型 | 增長型 |
Daniel Chen, Managing Director, is the lead portfolio manager for the Fundamental U.S. Investment Grade Credit, Long Duration and Global Corporate strategies within BlackRock’s Global Fixed Income Group. Mr. Chen has been a member of the U.S. Investment Grade Credit Portfolio Management Team since 2015 and a member of the U.S. Investment Grade Credit Platform since 2002. Across the Platform, Daniel has served as the head of U.S. Investment Grade Credit Trading and prior to that, within the Credit Research function with coverage responsibility across Financials, various Industrial sectors, and Utilities. Mr. Chen joined BlackRock in 1999 as an analyst in the Portfolio Analytics Group.
Max Huefner, Managing Director, Head of Global Credit Team was named the Lead PM on all Global Corporate portfolios and BGF Global Corporate Bond Fund on 1 March 2023. He brings years of fundamental credit research experience to the role and has been actively managing global credit strategies since 2018. This promotion was in recognition of his important role in the management of Global IG Credit portfolios. Prior to his current role, Mr. Huefner worked at MEAG (asset manager of Munich RE) in Munich where he was a Credit Analyst (July 2018-September 2018). Prior positions include credit portfolio manager at Assenagon (June 2017-July 2018), research analyst at BlackRock (June 2014-May 2017), sell-side credit analyst at UniCredit (April 2011-May 2014) and corporate ratings analyst at Moody's (August 2007-March 2011). Mr. Huefner has an extensive experience covering both fundamental analysis and portfolio management in corporate credit.