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Schroder International Selection Fund European Dividend Maximiser A Distribution Eur Qf (0P00009QN2)

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29,242 +0,270    +0,94%
12:00:00 - Fechado. Moeda em EUR
Tipo:  Fundo
Mercado:  Luxemburgo
Emissor:  Schroder Investment Management Lux S.A.
ISIN:  LU0321371998 
Classe de Ativo:  Açao
  • Classificação da Morningstar:
  • Ativos Totais: 180,79M
Schroder International Selection Fund European Div 29,242 +0,270 +0,94%

Schroder International Selection Fund European Dividend Maximiser A Distribution Eur Qf - Vista Geral

 
Nesta página encontrará um perfil aprofundado de Schroder International Selection Fund European Dividend Maximiser A Distribution Eur Qf. Fique a saber mais sobre as pessoas-chave, o total de ativos, a estratégia de investimento e a informação de contacto de 0P00009QN2, e mais.
Categoria

Europe Equity Income

Ativos Totais

180,79M

Despesas

1,83%

Data de Início

05.10.2007

Estratégia de investimento

Para proporcionar rendimento e crescimento de capital principalmente através do investimento em acções e títulos relacionados das empresas europeias. O Fundo também seletivamente celebrar contratos de opção para gerar renda adicional.

Informações de Contacto

Endereço Sennigerberg
Luxembourg, L-1736
Luxembourg
Telefone +352 341 342 202
Fax +352 341 342 342

Principais Executivos

Nome Título Desde Até
Martin Skanberg Manager 2024 Agora
Biografia – Manager of Schroder ISF EURO Equity since 2010, Schroder European Fund since 2006 – Co-manager of Schroder European Alpha Plus Fund from April 2024 – Morningstar 2017 European Equity Manager of the Year – Joined Schroders in 2004 as an industrials analyst – Investment career commenced in 1994 when he joined SEB Asset Management as an investment analyst for Nordic industrials and basic materials. In 1999 he became their Head of European Research – Previously worked at American Express Asset Management as a senior investment analyst responsible for Industrials and Telecoms
Duncan Green Portfolio Manager 2024 Agora
Biografia Duncan is a Portfolio Manager at Santander AM with responsibility for the day-to-day management of the UK Equity Income portfolios. Prior to joining Santander AM in September 2016, he was an Investment Risk Manager at Standard Life Investments. Prior to that, he was a Performance Analyst and then an Investment Risk Manager at Ignis Asset Management. He holds a Bachelor’s degree in Economics from the University of Southampton, a Master’s degree in Investment Management from the University of Reading ICMA Centre and is a CFA charterholder.
Kaarthi Chandrasegaram - 2024 Agora
Ghokhulan Manickavasagar - 2017 Agora
Biografia Ghokhulan Manickavasagar is a Fund Manager at Schroders, which involves providing portfolio construction solutions and managing the Diversified Trend strategy for the Multi-Asset business. He is a member of the Strategic Investment Group Multi-Asset (SIGMA) specialising in Commodity research. He joined Schroders in 2003 and is based in London. Ghokhulan was a Performance Analyst at Schroders from 2006 to 2007, which involved senior management reporting and maintenance of GIPS composites. Investment career commenced in 2003 upon joining Schroders within the Service Management Unit. Member of the CFA UK Qualifications: Investment Management Certificate (IMC UK); MSc in Information Technology from Queen Mary, University of London; BSc in Biochemistry from Queen Mary, University of London.
Jeegar Jagani Fund Manager 2012 Agora
Biografia Jeegar Jagani is a Structured Fund Manager at Schroders, which involves Yield Management, Structuring and Execution of Options for Enhanced Income Funds. He joined Schroders in 2008 and is based in London. Jeegar was a Quantitative Analyst at Royal London Asset Management from 2003 to 2008, which involved supporting the performance team, providing Quantitative output to Equity and Fixed Income Fund Managers. Structuring and Execution of OTC Derivatives in Fixed Income and Equities. Member of the CFA Insitute and CFA Society of the UK Qualifications: CFA Charterholder; BSc in Mathematics and Computer Science from University of Surrey.
Scott Thomson Fund Manager 2009 Agora
Biografia Scott Thomson is a Fund Manager at Schroders, which involves the Yield Management, Structuring and Execution of Options for Enhanced Income Funds, including the call option overlay strategy for the Maximiser Fund Range. He joined Schroders in 1997 and is based in London. Scott was a Quantitive Fund Manager/Analyst for the Investment Process Research Unit at Schroder Investment Management from 2004 to 2009. He was a Junior Fund Manager, Manager of EAFE Deal Implementation Team at Schroder Investment Management from 1997 to 2004. He was a Equity Fund Analyst at Morgan Grenfell Asset Management from 1995 to 1997. Qualifications: BA Honours Degree in Applied Economics from University of Abertay, Dundee.
Nicholette MacDonald-Brown Portfolio Manager 2020 2024
Biografia – Manager of European Sustainable Equity strategy – Responsible for managing Pan European blend portfolios since January 2015 – Joined Schroders in August 2011 – Previously spent 11 years at Goldman Sachs, most recently as an investment professional for Goldman Sachs Investment Partners, a global multi asset class hedge fund where she was responsible for the European industrial, utility, infrastructure and travel and leisure sectors – Former roles included research and portfolio management responsibilities for Global, EAFE and single country products, and Co-Head of the UK and European Small Cap Equity Team – Degree in Economics and Politics, Bristol University – Chartered Financial Analyst
Mike Hodgson Head 2016 2024
Biografia Mike Hodgson is Head of Risk Managed Investments and Structuring at Schroders, which involves, in the case of RMI, the management of outcome-oriented growth strategies. Usually this involves modifying the distribution of outcomes, often through the use of derivatives. Structuring involves the design of RMI strategies, and the design and execution of OTC derivatives. He joined Schroders in 2011 and is based in London. Mike was Head of Fund Derivatives Structuring and Trading at ABN AMRO Bank NV from 2006 to 2010, which involved designing, executing and hedging products and solutions that provide an exposure to funds. He was Head of Global Equity Derivatives Structuring at ABN AMRO Bank NV from 2004 to 2006, which involved designing products and solutions that provide an exposure to equities. He was Head of Structured Products and Equity Derivatives at J Henry Schroder & Co. Limited from 1996 to 2000, which involved designing, executing and hedging products and solutions across all asset classes. He was also responsible for equity and fund derivatives trading. When JHS was acquired by Citigroup in 2000, Mike became Head of New Product Development. He was an Interest Rate Derivatives Trader at J Henry Schroder & Co Limited from 1987 to 1992, which involved making markets in and trading and hedging interest rate swaps, swaptions, caps and floors. In 1992, Mike moved to JHS's Structured Products team (which he later led) expanding into derivative instruments across all asset classes. Qualifications: PhD in Physics from Cambridge University; BSc in Physics from Imperial College, London.
Nick Kirrage Co-Head 2018 2020
Biografia Nick Kirrage is co-head of Schroders Global Value team who manage income, recovery and sustainable strategies across four geographies: UK, European, global and emerging markets. Nick co-manages UK Income, UK Recovery, Global Income and Global Recovery portfolios. He has managed value portfolios at Schroders since 2006 and was a founding member of the Global Value team in 2013. He joined Schroders in 2001, initially working as part of the Pan European research team providing insight and analysis on a broad range of sectors from Transport and Aerospace to Mining and Chemicals. Qualifications: CFA Charterholder; Meng in Aeronautical Engineering from Bristol University.
Simon Adler Portfolio Manager 2018 2020
Biografia 'Co-manager of Global Value portfolios Joined the Global Value team in July 2016 Investment career commenced in 2008 at Schroders as a UK equity analyst Previously sector analyst responsible for chemicals, media, transport, travel and leisure and utilities Global Sustainability Specialist in Global Equity team until 2016 Chartered Financial Analyst MA in Politics, Edinburgh University
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