Últimas Notícias
Poupe 40% 0
🔥 A estratégia de ações escolhidas por IA, Titãs da tecnologia, subiu +7,1% em maio. Junte-se à ação com as ações EM ALTA. Poupe 40%
Fechar

Guggenheim Total Return Bond Fund Institutional Class (GIBIX)

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 a carteira
Adicionar a Watchlist
Adicionar Posição

Posição adicionada com sucesso a:

Dê um nome à sua carteira de participações
 
23,21 +0,06    +0,26%
14/05 - Atraso dados. Moeda em USD ( Declaração de Riscos )
Tipo:  Fundo
Mercado:  E.U.A.
Emissor:  Guggenheim Investments
Classe de Ativo:  Obrigação
  • Classificação da Morningstar:
  • Ativos Totais: 22,54B
Guggenheim Total Return Bond Instl 23,21 +0,06 +0,26%

Guggenheim Total Return Bond Fund Institutional Class - Vista Geral

 
Nesta página encontrará um perfil aprofundado de Guggenheim Total Return Bond Fund Institutional Class. Fique a saber mais sobre as pessoas-chave, o total de ativos, a estratégia de investimento e a informação de contacto de GIBIX, e mais.
Categoria

Intermediate Core-Plus Bond

Ativos Totais

22,54B

Despesas

0,62%

Data de Início

40877

Informações de Contacto

Endereço 330 Madison Avenue
New York,NY 10017
United States
Telefone 212.518.9290
Fax 212.644.4131

Principais Executivos

Nome Título Desde Até
Evan Serdensky - 2023 Agora
Biografia Mr. Serdensky joined Guggenheim in 2018 and is a Portfolio Manager for Guggenheim’s Active Fixed Income and Total Return mandates, specializing in corporate credit. Previously, Mr. Serdensky was a Trader on the Investment Grade Corporate team at Guggenheim Investments, where he was responsible for identifying and executing investment opportunities across corporate securities. Prior to joining Guggenheim, Mr. Serdensky was a Vice President and Portfolio Manager at BlackRock, responsible for actively managing High Yield and Multi-Sector Credit portfolios. Mr. Serdensky started his career at PIMCO supporting Total Return and Alternative strategies. Mr. Serdensky completed his B.S. in Finance from the University of Maryland and earned his M.S. in Finance from the Washington University in St. Louis.
Adam J. Bloch Portfolio Manager 2016 Agora
Biografia Adam Bloch, Managing Director and Portfolio Manager of Guggenheim Partners. Mr. Bloch joined Guggenheim Partners in 2012 and is a Portfolio Manager for the firm's Active Fixed Income and Total Return mandates. Mr. Bloch works with the Chief Investment Officers and other Portfolio Managers to develop portfolio strategy that is in line with the firm’s views. He oversees strategy implementation, working with research analysts and traders to generate trade ideas, hedge portfolios, and manage day-to-day risk. Prior to joining Guggenheim Partners, he worked in Leveraged Finance at Bank of America Merrill Lynch in New York where he structured high-yield bonds and leveraged loans for leveraged buyouts, restructurings, and corporate refinancings across multiple industries. Mr. Bloch graduated from the University of Pennsylvania.
Steven H. Brown Vice President and Portfolio Manager 2016 Agora
Biografia Steve Brown, Senior Managing Director and Portfolio Manager of Guggenheim Partners and Senior Managing Director and Portfolio Manager of Security Investors. He has co-managed Series E since 2016. Mr. Brown joined Guggenheim Investments in 2010 and is a Portfolio Manager for Guggenheim Partners' Active Fixed Income and Total Return mandates. He works with the Chief Investment Officers and other members of the Portfolio Management team to develop and execute portfolio strategy. Additionally, he works closely with the Sector Teams and Portfolio Construction Group. Prior to joining Portfolio Management in 2012, Brown worked in Guggenheim Partners' Asset Backed Securities group. His responsibilities on that team included trading and evaluating investment opportunities and monitoring credit performance. Prior to joining Guggenheim Partners in 2010, Mr. Brown held roles within structured products at ABN AMRO and Bank of America in Chicago and London. He has earned the right to use the Chartered Financial Analyst® designation and is a member of the CFA Institute.
Anne Bookwalter Walsh Senior Managing Director 2011 Agora
Biografia Anne B. Walsh, Chief Investment Officer, Fixed Income, Senior Managing Director and Portfolio Manager of Guggenheim Partners. Ms. Walsh joined Guggenheim Partners (or its affiliate or predecessor) in 2007 is also the head of the Portfolio Construction Group and Portfolio Management. She oversees more than $185 billion in fixed-income investments including Agencies, Credit, Municipals, and Structured Securities. She is responsible for portfolio design, strategy, sector allocation and risk management, as well as conveying Guggenheim Partners' macroeconomic outlook to Portfolio Managers and fixed income Sector Specialists. Ms. Walsh specializes in liability-driven portfolio management. Prior to joining Guggenheim Partners, she served as Chief Investment Officer at Reinsurance Group of America, and also held roles at Zurich Scudder Investments, Lincoln Investment Management and American Bankers Insurance Group. She has earned the right to use the Chartered Financial Analyst® designation and is a member of the CFA Institute. Ms. Walsh received her BSBA and MBA from Auburn University and her J.D. from the University of Miami School of Law.
B. Scott Minerd Chairman 2011 2023
Biografia B. Scott Minerd, Chairman, Global Chief Investment Officer, Managing Partner and Portfolio Manager of Guggenheim Partners. Mr. Minerd joined Guggenheim Partners (or its affiliate or predecessor) in May 1998. Mr. Minerd leads Guggenheim Partners' research on global macroeconomics and guides the firm’s investment strategies.Previously, Mr. Minerd was a Managing Director with Credit Suisse First Boston in charge of trading and risk management for the Fixed Income Credit Trading Group. In this position, he was responsible for the corporate bond, preferred stock, money markets, U.S. government agency and sovereign debt, derivatives securities, structured debt and interest rate swaps trading business units. Prior to that, Mr. Minerd was Morgan Stanley’s London based European Capital Markets Products Trading and Risk Manager responsible for Eurobonds, Euro-MTNs, domestic European Bonds, FRNs, derivative securities and money market products in 12 European currencies and Asian markets. Mr. Minerd has also held capital markets positions with Merrill Lynch and Continental Bank. Prior to that, he was a Certified Public Accountant and worked for the public accounting firm of Price Waterhouse. Mr. Minerd is a member of the Federal Reserve Bank of New York’s Investor Advisory Committee on Financial Markets, helping advise the NY Fed President and senior management at the bank about the current financial markets and ways the public and private sectors can better understand and mitigate systematic risks. Mr. Minerd also works with the Organization for Economic Cooperation and Development (OECD), advising on research and analysis of private sector infrastructure investment, and is a contributing member of the World Economic Forum (WEF). He is a regularly featured guest and contributor to leading financial media outlets, including The Wall Street Journal, The Financial Times, Bloomberg, and CNBC, where he shares insights on today’s financial climate. Mr. Minerd holds a B.S. degree in Economics from the Wharton School, University of Pennsylvania, Philadelphia, and has completed graduate work at the University of Chicago Graduate School of Business and the Wharton School, University of Pennsylvania.
James W. Michal Vice President 2011 2018
Biografia Mr. Michal joined Guggenheim in 2008. He manages the Firm’s portfolio management team dedicated to Active Fixed Income and Total Return mandates. Mr. Michal is responsible for implementing macro investment themes of the Global Chief Investment Officer and Assistant Chief Investment Officers, coordinating with sector heads and traders to determine credit trends and relative value, and for the day-to-day risk monitoring of the portfolios. In addition, he also works closely with Risk Management and the Portfolio Construction team to highlight interest rate and spread risk trends. Prior to joining Guggenheim, he was an Associate in Wachovia’s structured finance division. He focused on origination, marketing, structuring and execution of collateralized loan obligations for two years. Prior to his time in structured credit products, he was an analyst in Wachovia's corporate credit division focusing on portfolio management and loan syndications. Mr. Michal earned a BSBA in Finance and International Business from Georgetown University.
Jeffrey B. Abrams Senior Managing Director 2011 2017
Biografia Mr. Abrams is a Senior Managing Director and portfolio manager in Guggenheim’s Corporate Credit Group. He is a member of the Investment Committee overseeing Guggenheim’s corporate credit investing activities, Portfolio Manager for the NZC Guggenheim Fund and has been with Guggenheim Partners since 2002. Mr. Abrams’ prior roles at Guggenheim include covering the retail and consumer sectors as a senior analyst. He led an industry team focused on investing across the leveraged credit markets in a number of industries including financial institutions, retail, food and beverage and consumer products. Mr. Abrams has also focused on sourcing and structuring directly negotiated middle market debt investments. Prior to joining Guggenheim, Mr. Abrams worked in the Leveraged Finance Group at Bear Stearns where he focused on various leveraged debt transactions across multiple industries. Mr. Abrams received his B.A. in History and a BBA in Finance from Emory University.
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.

GIBIX Fórum de Discussão

Escreva o que você pensa sobre Guggenheim Total Return Bond Fund Institutional Class
 
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
Registe-se com o Google
ou
Registe-se com email