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O objectivo de investimento do fundo é atingir, num horizonte de longo prazo (no mínimo, 3 anos), uma taxa de valorização do capital suficiente para cobrir os efeitos adversos da inflação nos Estados-membros que integrem a União Económica e Monetária. Para atingir este objectivo, o fundo investe entre 30% a 60% dos seus activos líquidos emacções e o restante dos seus activos em obrigações e outros títulos de dívida de emitentes de países desenvolvidos. O Sub-Fundo poderá, contudo, investir uma pequena percentagem de seus activos em títulos de emitentes de quaisquer países com mercados emergentes. Ao longo do tempo, o Gestor de Investimento pode variar a afectação dos activos e dos países, de modo a reflectir as condições e oportunidades de mercado. O fundo poderá investir em títulos denominados em qualquer moeda ou em unidades de moeda multinacional.
Nome | Título | Desde | Até |
---|---|---|---|
Katy Thorneycroft | - | 2018 | Agora |
Biografia | Katy Thorneycroft, managing director, is a portfolio manager in the Multi-Asset Solutions team, focusing on multi-strategy investing, including benchmark oriented, flexible and total return strategies, as well as funds of investment trusts. An employee since 1999, Katy was previously a portfolio manager in the convertible bonds team and a member of the Multi-Asset Solutions team in New York. Prior to this, Katy was a portfolio manager in the European Equity group in London focusing on small and mid-cap strategies. Katy obtained a M.Chem. from the University of Oxford and is a CFA charterholder. | ||
Jonathan M. Cummings | Vice President | 2018 | Agora |
Biografia | Jonathan Cummings, executive director, is a portfolio manager in the Multi-Asset Solutions team, based in London. An employee since 2005, he focuses on multi-strategy portfolios including total return and less benchmark constrained accounts. Prior to this role, he was an analyst with the portfolio construction and investment strategy team within J.P. Morgan Private Bank in London. Joe obtained a M.Sc. in Economics and Finance from the University of Bristol. He is a CFA charterholder. | ||
Gareth Witcomb | - | 2010 | Agora |
Biografia | Gareth Witcomb, executive director, is a portfolio manager in the Multi-Asset Solutions team, based in London. Gareth manages global balanced portfolios and works on our total return range of portfolios, where he specialises in providing fixed income insight. An employee since 1998, Gareth previously supervised the Cash Management Team, before joining the Multi-Asset Solutions team in 2005. Gareth obtained a B.A. in History and Politics from University College Wales. | ||
Talib Sheikh | Head | 2010 | 2018 |
Biografia | Talib Sheikh joined Jupiter in June 2018 and is Head of Strategy, Multi-Asset. He manages the Jupiter Flexible Income fund (SICAV) and the Jupiter Flexible Macro fund (SICAV). Before joining Jupiter, Talib was managing director and portfolio manager at JP Morgan Asset Management where he worked for nearly 20 years. He was instrumental in the formation and growth of the Multi-Asset Solutions team since its inception in 2004. Over this time, Talib has managed a number of products including multi-asset income, target return and flexible balanced funds plus diversified institutional accounts. Talib has an MSc in International Agricultural Marketing from Newcastle University and is a CFA® charterholder. | ||
Management Team | - | 2004 | 2010 |
Biografia | Team Managed |
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