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Allianz Unconstrained Multi Asset Strategy A13 H2-usd (0P0000Y6IB)

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Dados históricos de Allianz Global Investors Fund Allianz Global Fun, para cotação em tempo real realize outra pesquisa, por favor
11,460 -0,000    0,00%
26/07 - Fechado. Moeda em USD
  • Classificação da Morningstar:
  • Total de ativos: 98,2M
Tipo:  Fundo
Mercado:  Luxemburgo
Emissor:  Allianz Global Investors GmbH
ISIN:  LU0890505703 
Classe de Ativo:  Ações
Allianz Global Investors Fund Allianz Global Fun 11,460 -0,000 0,00%

0P0000Y6IB - Visão Geral

 
Nesta página, você encontrará um perfil aprofundado de Allianz Unconstrained Multi Asset Strategy A13 H2-usd. Saiba mais sobre informações de gestão, ativos totais, estratégia de investimento e dados de contato de 0P0000Y6IB, entre outras informações.
Categoria

USD Flexible Allocation

Total de ativos

98,2M

Despesas

0,45%

Data de início

28.02.2013

Informações de Contato

Endereço L-2633 Senningerberg
Frankfurt am Main, 60323
Germany
Telefone +49 (0) 69 2443-1140
Fax Frankfurt am Main

Principais Executivos

Nome Título Desde Até
Gary Chen - 2021 Agora
Biografia Gary Chen is a Portfolio Manager in the Multi Asset Asia Pacific team at Allianz Global Investors since 2014. He shares in the responsibilities of the Multi Asset business and its mandates in the Asia Pacific region, especially asset allocation mandates and volatility-controlled mandates. He is also a member of the Fundamental Multi Asset Investment Council. Prior to that, he worked as in-house Legal Counsel at Allianz Global Investors, responsible for providing legal advice to the firm’s Asia business in various aspects. His diverse prior experience includes infrastructure debt investing, working on mergers and acquisitions as well as practicing law for both legal practices and financial institutions. Gary holds a MBA from the University of Chicago Booth School of Business and law degrees from Duke Law School and Bond University.
Paul Pietranico Portfolio Manager 2020 Agora
Biografia Paul is a Director of Allianz Global Investors Multi Asset US and is Lead Portfolio Manager of the Active Allocation Strategies Team, which he joined in 2005. Paul has investment-industry experience since 1995. He previously worked at Charles Schwab & Co., focusing on research related to asset allocation, portfolio optimization, retirement planning and investment-manager due diligence. Paul has a B.S. in physics, a master’s degree. in philosophy of science, and a master’s degree in engineering economic systems and operations research from Stanford University. He is a CFA charterholder.
Gavin Counsell - 2020 Agora
Biografia Gavin is a Director and Senior Portfolio Manager, Multi Asset based in London. He joined Allianz Global Investors from Aviva Investors in 2018 to support the growth of our multi asset portfolios. This includes Best Ideas / AGFS and the flagship RiskMaster Multi Asset Fund range, with the latter targeting volatility and designed to deliver a specific level of risk to the investors. At Aviva Investors, Gavin was senior fund manager across a range of multi-asset portfolios, his role focused on portfolio construction and active asset allocation. This included the management of the return-seeking portfolio of Aviva’s with-profits funds, with assets in excess of £20bn. He graduated from The University of Warwick with a First Class Masters in Mathematics (MMaths), and is a Fellow of the Institute and Faculty of Actuaries, FIA.
Gavin Counsell - 2019 2020
Biografia Gavin is a Director and Senior Portfolio Manager, Multi Asset based in London. He joined Allianz Global Investors from Aviva Investors in 2018 to support the growth of our multi asset portfolios. This includes Best Ideas / AGFS and the flagship RiskMaster Multi Asset Fund range, with the latter targeting volatility and designed to deliver a specific level of risk to the investors. At Aviva Investors, Gavin was senior fund manager across a range of multi-asset portfolios, his role focused on portfolio construction and active asset allocation. This included the management of the return-seeking portfolio of Aviva’s with-profits funds, with assets in excess of £20bn. He graduated from The University of Warwick with a First Class Masters in Mathematics (MMaths), and is a Fellow of the Institute and Faculty of Actuaries, FIA.
Neil Dwane Portfolio manager 2016 2020
Biografia Mr. Dwane is CIO Equity Europe with Allianz Global Investors, which he joined in 2001. He is responsible for equity portfolio management, research and trading activities in Frankfurt, Paris and London, overseeing 130 investment professionals and EUR 63 billion in assets under management. Mr. Dwane is a member of the firm’s European Executive Committee and the chairperson of the European Equity Management Group. As a portfolio manager, he manages nearly EUR 4 billion in assets for the firm. Mr. Dwane has 26 years of investment-industry experience. He previously worked at JP Morgan Investment Management as a UK and European specialist portfolio manager. Before that, Mr. Dwane worked at Fleming Investment Management and at Kleinwort Benson Investment Management as an analyst and a fund manager. He has a B.A. in classics from Durham University and is a member of the Institute of Chartered Accountants.
Georgios Costa Georgiou - 2017 2019
Biografia Mr. Georgiou is a portfolio manager and Head of Investment Structuring with Allianz Global Investors, which he joined in 2014. As Head of Investment Structuring, he leads a global cross-asset team of investment analysts specializing in portfolio construction and optimization. Mr. Georgiou has nine years of investment-industry experience. He was previously head of investment risk at Invesco, and a director in global markets sales and trading at Bank of America Merrill Lynch, focused on alternative investment strategies. Before that, Mr. Georgiou worked in private, corporate and investment banking at Deutsche Bank and UBS. He was also an economist at the European Central Bank and a financial markets regulator in the UK earlier in his career. Mr. Georgiou has a B.S.F.S. from Georgetown University and an M.Phil. from the University of Oxford.
Armin Kayser - 2016 2017
Biografia Mr. Kayser is a senior portfolio manager with Allianz Global Investors, which he joined in 1998. He is a member of the Multi-Asset team and manages retail and institutional strategies with a European and global focus. Mr. Kayser has also managed emerging-market bond funds with the firm’s fixed-income team. He has 25 years of investment-industry experience and previously worked at Swiss Bank Corporation. Mr. Kayser has a master’s degree in economics from the University of Mannheim.
Andreas E. F. Utermann Co-Head 2013 2016
Biografia Mr. Utermann, ASIP, is co-head and Global Chief Investment Officer of Allianz Global Investors, which he joined in 2002. He is an Allianz Global Investors board member and has 24 years of investment-industry experience. Mr. Utermann was previously Global Head and CIO, Equities at Merrill Lynch Investment Managers (formerly Mercury Asset Management). Before that, he worked at Deutsche Bank AG. Mr. Utermann has a B.Sc. in economics from the London School of Economics and an M.A. in economics from Katholieke Universiteit Leuven. He is an associate of the Institute of Investment Management and Research.
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