Últimas Notícias
Subscrever agora 0
💎 Veja as empresas mais saudáveis no mercado atual Começar
Fechar

Ct (lux) Responsible Global Emerging Markets Equity Fund A Inc Usd (0P00000BSR)

Criar Alerta
Novo!
Criar Alerta
Website
  • Como notificação de alerta
  • Para utilizar esta função, inicie uma sessão na sua conta
Aplicação Móvel
  • Para utilizar esta função, inicie uma sessão na sua conta
  • Inicie uma sessão com o mesmo perfil de utilizador

Condição

Frequência

Uma vez
%

Frequência

Frequência

Método de Entrega

Estado

Adicionar/Remover de uma carteira Adicionar à watchlist
Adicionar a Watchlist
Adicionar Posição

Posição adicionada com sucesso a:

Dê um nome à sua carteira de participações
 
27,640 -0,300    -1,07%
03/10 - Fechado. Moeda em USD ( Declaração de Riscos )
Tipo:  Fundo
Mercado:  Luxemburgo
Emissor:  BMO (F&C Management Ltd)
ISIN:  LU0153359632 
Classe de Ativo:  Açao
  • Classificação da Morningstar:
  • Ativos Totais: 305,82M
F&C Portfolios Fund - BMO Responsible Global Emerg 27,640 -0,300 -1,07%

Ct (lux) Responsible Global Emerging Markets Equity Fund A Inc Usd - Vista Geral

 
Nesta página encontrará um perfil aprofundado de Ct (lux) Responsible Global Emerging Markets Equity Fund A Inc Usd. Fique a saber mais sobre as pessoas-chave, o total de ativos, a estratégia de investimento e a informação de contacto de 0P00000BSR, e mais.
Categoria

Global Emerging Markets Equity

Ativos Totais

305,82M

Despesas

1,80%

Data de Início

01.07.1994

Estratégia de investimento

O objectivo do fundo é proporcionar um meio através do qual os investidores possam participar em emissões de acções e de dívida em mercados de capitais emergentes. Para este efeito, um mercado emergente será aquele que possui um mercado de acções a funcionar e tenha sido classificado pelo Banco Mundial como mercado emergente. Esta definição de mercado emergente será normalmente observada pelo Gestor de Investimentos ao seleccionar os mercados em que o fundo investirá.

Informações de Contacto

Endereço Exchange House, Primrose Street
London, EC2A 2NY
United Kingdom
Telefone 020 7628 8000
Fax London

Principais Executivos

Nome Título Desde Até
Claire Franklin - 2023 Agora
Gokce Bulut - 2018 Agora
Biografia Gokce Bulut joined LGM Investments in May 2017 and became the Lead PM. Prior to LGM, Gokce worked for First State Stewart Asia in Hong Kong and First State Stewart (Stewart Investors) in Edinburgh. He started as a generalist with wide research and investment responsibilities across the Asia Pacific Markets, Emerging Markets and Global Equities and progressed to running a successful internal GEM fund. During his time in Edinburgh, Gokce gained a significant amount of experience in responsible investing by being very involved in idea generation across the sustainable strategies. He was appointed as a representative on the Responsible Investment Committee of First State Investment between 2013 and 2017. He received his undergraduate degree from Copenhagen Business School and postgraduate degree in Finance and Investment from University of Durham.
Sam Mahtani Assistant Director 2016 Agora
Biografia Sam Mahtani joined BMO Global Asset Management (EMEA) in 1993 helping launch the F&C India fund, the third offshore India fund to be available to foreign investors. He became Co-Portfolio Manager (PM) for the Fund in 1994 and lead manager in 1996. He has over 20 years’ investment experience analysing companies and managing money in emerging markets. Sam has research responsibilities for companies in Asia, specialising in India, China, Korea and Latin America. Prior to BMO Global Asset Management (EMEA) Sam worked at the Royal Bank of Scotland Plc for six years as Senior Bank Officer in the corporate trusts division. He is an Associate of the Institute of Financial Services and a member of the CFA Society in the UK. Sam was one of the five emerging markets team members to become part of the LGM team in late 2014.
Rishikesh Patel Portfolio Manager 2018 2023
Biografia Rishi holds a post-grad degree in Finance & Mgmt from Jamnalal Bajaj Institute of Management Studies, Mumbai. Before joining LGM in 2006, he worked with ICICI Securities and General Electric. During Rishi's 2 years at ICICI he was an analyst researching IT, Real Estate and Cement sectors. Rishi was at GE for almost 3 years and worked across 5 GE businesses. At LGM he has researched Indian stocks and advised on our Indian mandates. Rishi relocated to London in October 2014 and became Co-PM, then Lead PM for Global Emerging Markets mandates in March and July 2016, respectively.
Jeffrey Chowdhry director and Portfolio Manager 2016 2018
Biografia Chowdry is director and portfolio manager for Foreign & Emerging Markets, Ltd., his employer since 1994. He heads the department at Foreign & Colonial that invests in Eastern Europe, the Middle East and Africa. He began his career as an investment analyst in 1982. He joined Royal Insurance PLC in 1985 as a fund manager before joining BZW Investment Management in 1987 as a director in their emerging markets division. He has managed investments in the United States, Europe, Latin America, and Asia.
Rishikesh Patel Portfolio Manager 2016 2016
Biografia Rishi holds a post-grad degree in Finance & Mgmt from Jamnalal Bajaj Institute of Management Studies, Mumbai. Before joining LGM in 2006, he worked with ICICI Securities and General Electric. During Rishi's 2 years at ICICI he was an analyst researching IT, Real Estate and Cement sectors. Rishi was at GE for almost 3 years and worked across 5 GE businesses. At LGM he has researched Indian stocks and advised on our Indian mandates. Rishi relocated to London in October 2014 and became Co-PM, then Lead PM for Global Emerging Markets mandates in March and July 2016, respectively.
Irina Hunter Portfolio Manager 2015 2016
Biografia Irina began her career in financial services in 1992, from 1994 -1998 worked as VP for The U.S.-Russia Investment Fund, a private equity investment fund in Moscow. After a period working in M&A in Canada and Russia she joined AGF Funds Inc. in 2002, based in Toronto where she was a Global Equity Analyst, and later Associate Portfolio Manager. She supported the award winning AGF Emerging Markets Fund and AGF Global Equity Class. Irina has an MBA from the University of Rochester as well as a Bachelor Degree in Finance and Banking from the Moscow Finance Academy. Irina joined LGM in 2007.
Rasmus Nemmoe Portfolio Manager 2015 2016
Biografia Mr. Nemmoe, CFA, was previously with BankInvest in Copenhagen, where he was a portfolio manager for Asia ex Japan equities for four years. Prior to this he was a portfolio manager of the BankInvest Consumer Fund focusing on consumer discretionary and staples equities across both Developed and Emerging Markets. Rasmus spent two years as an analyst focusing on information technology and telecom at Nordic Venture Partners. Rasmus joined LGM Investments in April 2012 and is the lead portfolio manager for our Global Emerging Markets strategy.
Sam Mahtani Assistant Director 2000 2015
Biografia Sam Mahtani joined BMO Global Asset Management (EMEA) in 1993 helping launch the F&C India fund, the third offshore India fund to be available to foreign investors. He became Co-Portfolio Manager (PM) for the Fund in 1994 and lead manager in 1996. He has over 20 years’ investment experience analysing companies and managing money in emerging markets. Sam has research responsibilities for companies in Asia, specialising in India, China, Korea and Latin America. Prior to BMO Global Asset Management (EMEA) Sam worked at the Royal Bank of Scotland Plc for six years as Senior Bank Officer in the corporate trusts division. He is an Associate of the Institute of Financial Services and a member of the CFA Society in the UK. Sam was one of the five emerging markets team members to become part of the LGM team in late 2014.
Arnab Banerji CIO 1994 2000
Biografia Banerji is chief investment officer with Foreign & Colonial Management Ltd., his employer since August 1993. Prior to joining the company, he worked with several investment firms, including Citibank Global Asset Management, Nomura Securities, and J. Henry Schroder Wagg in London.
Diretrizes para Comentários

Encorajamos o uso de comentários como forma de interagir com os nossos usuários, compartilhar a sua perspetiva e fazer perguntas. No entanto, a fim de manter o alto nível do discurso que todos nós valorizamos e esperamos, por favor, mantenha os seguintes critérios em mente:

  • Enriqueça a conversa
  • Mantenha-se focado no tema. Apenas coloque conteúdo relativo ao tópico.
  • Seja respeitoso. Até as opiniões negativas podem ser enquadradas de forma positiva e diplomática.
  • Use estilo de escrita padrão. Incluir pontuação e letras maiúsculas e minúsculas.
  • NOTA: Spam e/ou mensagens promocionais ou links dentro de um comentário serão removidos.
  • Evite palavrões, calúnias ou ataques pessoais dirigidos a um autor ou outro usuário.
  • Somente serão permitidos comentários em Português.

Os autores de spam ou abuso serão excluídos do site e proibidos de registro no futuro, a critério Investing.com.

0P00000BSR Fórum de Discussão

Escreva o que você pensa sobre Ct (lux) Responsible Global Emerging Markets Equity Fund A Inc Usd
 
Tem certeza que deseja eliminar este gráfico?
 
Postar
Também publique em :
 
Substituir o gráfico anexado por um novo gráfico?
1000
A sua capacidade de comentar está suspensa devido a relatórios negativos por partes utilizadores. O estado será revisto pelos nossos moderadores.
Aguarde um minuto antes de tentar comentar novamente.
Obrigado pelo seu comentário. Por favor, note que todos os comentários estão automaticamente pendentes, em nosso sistema, até que aprovados por nossos moderadores. Por este motivo, pode demorar algum tempo antes que o mesmo apareça em nosso site.
 
Tem certeza que deseja eliminar este gráfico?
 
Postar
 
Substituir o gráfico anexado por um novo gráfico?
1000
A sua capacidade de comentar está suspensa devido a relatórios negativos por partes utilizadores. O estado será revisto pelos nossos moderadores.
Aguarde um minuto antes de tentar comentar novamente.
Anexar um gráfico a um comentário
Confirmar Bloqueio

Quer mesmo bloquear %USER_NAME%?

Se o fizer, não poderá consultar as mensagens de %USER_NAME% e vice versa em Investing.com.

Adicionou %USER_NAME% com sucesso à sua Lista de Bloqueios

Uma vez que acabou de desbloquear esta pessoa, deve aguardar 48 horas antes de bloqueá-la novamente.

Denunciar este comentário

Diga-nos o que achou deste comentário

Comentário denunciado

Obrigado!

Seu comentário foi enviado aos moderadores para revisão
Iniciar sessão com Apple
Registe-se com o Google
ou
Registe-se com email