Schroder ISF Glb Cnsrv Convert Bd

Schroder International Selection Fund Global Conservative Convertible Bond A EUR Hedged Acc  /  LU1148416099

Schroder Investment Management Lux S.A.

3259º de 3259

Artículos relacionados con Schroder ISF Glb Cnsrv Convert Bd

Mi estrategia de Inversión (II)

Actualización al 31/01/2017               (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 | 6539 Comentarios

Gestores

Peter Reinmuth

Dr Peter Reinmuth graduated from the University of Zurich with a degree in management and was later awarded a doctorate with a thesis on Barrier Options. Since 1996, he has worked for Julius Bär Asset Management AG, Schröder Münchmeyer, Hengst & Co., Deutsche Bank AG and Wegelin & Co. In 1999 he joined Julius Bär Asset Managment AG and took over the responsibility for their European Warrant Fund, Inc. in the function of Investment officer. In April 2002, he was made manager of the Julius Bär Global Conve...

Stefan Krause

Stefan Krause – Fund Manager Stefan joined Schroders in 2015 from Man Investments. Prior to joining Man in 2012, Stefan spent two years with Warburg Invest in Hamburg as a portfolio manager for European convertibles and almost five years with UBS in Zurich holding positions in convertible bond departments on the buy and sell side. Stefan holds a Master's in business administration (Thesis: Feasibility of an ETF for a Convertible Bond Index) from the University of Zurich.

Categorías
MORNINGSTAR RF Convertibles Global

Fondos relacionados

M&G Global Convertibles Fund

M&G Group
Patrimonio Val. liquidativo
246,56 M € 17,28 €

Aviva Investors Global Convertibles Fund

Aviva Investors Luxembourg SA
Patrimonio Val. liquidativo
18,24 M $ 13,352 $

Oaktree Lux Funds Glbl Convert Bd Fd

Oaktree Capital Management LP
Patrimonio Val. liquidativo
74,65 M CHF 127,45 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:  1.000 €
  • Comisión de apertura:  3,00%
  • Comisión anual:  1,20%
  • Comisión de custodia: 

app version

Fri Feb 24 10:10:26 CET 2017

2271

22d7561e711c8d1a939b249a13bfac9cb818fe4f