NN (L) Emerging Markets High Dividend

NN (L) Emerging Markets High Dividend - I Cap USD  /  LU0799805873

NN Investment Partners Luxembourg SA

3216º de 3216

Artículos relacionados con NN (L) Emerging Markets High Dividend

Mi estrategia de Inversión (II)

Actualización al 31/12/2016               (continuación de Mi estrategia de Inversión)Para empezar, mi perfil de inversor es Moderado- Dinámico: busco rentabilidades medias a medio plazo, pero con monitorización...
por Lopv
03-08-13 11:22:49 | 6013 Comentarios

Gestores

Nicolas Simar

Simar is head of value/high dividend with ING Investment Management, Inc., his employer since 1996.

Manu Vandenbulck

Mr. Vandenbulck joined ING IM Europe in 2001 and has managed the Europe High Dividend fund since its inception at the end of 2004. From 2001 to 2004, he was senior manager for equities and balanced portfolios. Mr. Vandenbulck has 10 years of investment experience. During 2000 and 2001, he was private equity analyst for FLV Fund (Technology). He began his career as fixed income manager in 1997. He has a degree in Economics, and is a Certified European Financial Analyst.

Robert Davis

Investment Officer Institutional Portfolio Manager As an Institutional Portfolio Manager, participates in the research process and strategy discussions. Assesses portfolio risk, customizes portfolios to client objectives and guidelines, and manages daily cash flows. Communicates investment policy, strategy, and positioning. Joined MFS in 2012 Previous experience includes 2 years as Director, North American Business Development at Numeric Investors, LLC; 1 year as Vice President, Business Developmen...

Fondo Patrimonio
NN (L) Emerging Markets High Dividend 220,14 M €
Categorías
MORNINGSTAR RV Global Emergente

Fondos relacionados

BlackRock ISF Emerg Mkts Idx Sub-Fund

BlackRock Asset Management Ireland Ltd
Patrimonio Val. liquidativo
172,34 M € 13,64 €

Vanguard Em Mkts Stk Indx

Vanguard Group (Ireland) Limited
Patrimonio Val. liquidativo
1.083,98 M € 142,998 €

Aberdeen Global Emerging Markets Equity

Aberdeen Global Services SA
Patrimonio Val. liquidativo
31,71 M CHF 11,224 CHF

Últimos fondos vistos

Fuente: 
Llamada por AJAX para obtener el gráfico del producto Llamada por AJAX para obtener el gráfico del producto

¿Cómo comprar este fondo?

Contacto

Condiciones básicas

  • Participación mínima:  250.000 $
  • Comisión de apertura: 
  • Comisión anual:  0,60%
  • Comisión de custodia: 

app version

Thu Jan 19 13:48:27 CET 2017

2251

b4ca9d373d465f648c6d7cc9593da28c52799dbb