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Valic Company I International Government Bond Fund (VCIFX)

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10,02 +0,03    +0,30%
30/01 - Dados em Atraso. Moeda em USD
  • Classificação da Morningstar:
  • Total de ativos: 61,84M
Tipo:  Fundo
Mercado:  EUA
Emissor:  VALIC
Classe de Ativo:  Título
VALIC Company I International Govt Bond 10,02 +0,03 +0,30%

VCIFX - Visão Geral

 
Nesta página, você encontrará um perfil aprofundado de Valic Company I International Government Bond Fund. Saiba mais sobre informações de gestão, ativos totais, estratégia de investimento e dados de contato de VCIFX, entre outras informações.
Categoria

World Bond

Total de ativos

61,84M

Despesas

0,65%

Data de início

33512

Informações de Contato

Endereço 2929 Allen Parkway
Houston,TX 77019
United States
Telefone -

Principais Executivos

Nome Título Desde Até
Dmitri Savin Risk and Solutions Strategist Manager 2016 Agora
Biografia DMITRI SAVIN, CFA Senior Vice President, Emerging Markets Fixed Income PineBridge Investments, London Mr. Savin joined the firm in 2000 and is a portfolio and risk strategist on the Emerging Markets Fixed Income team. Previously, his responsibilities have included managing sovereign hard currency portfolios as well as portfolio strategy, risk management and development of various quantitative strategies and applications of technical analysis. He has also held the role of Senior Analyst, focusing on sovereigns in the EMEA region. Prior to joining PineBridge, Mr. Savin was Head of Research with Fleming UCB in Moscow, providing equity coverage on Russian companies, as well as macroeconomic research and equity strategy. Prior to that, he worked in Equity Research for Deutsche Morgan Grenfell and was Head of Operations with United City Bank. He received a BSc with honors in Mathematics from Moscow State University and an MBA from Indiana University. He holds the Investment Management Certificate (IMC) and is a CFA charterholder. He is an Associate of the CFA Institute and the CFA Society of the UK.
Anders Faergemann Managing Director 2009 Agora
Biografia Mr. Faergemann joined PineBridge in 2004 and is Managing Director and Senior Portfolio Manager for Emerging Markets Fixed Income. He is part of PineBridge Investments's Fixed Income Asset Allocation team and is responsible for emerging market local currency strategy, emerging market blended portfolios and global government bonds strategy. He holds an MA in Economics of the European Union from the University of Exeter and the Investment Management Certificate.
Anthony King Managing Director 2002 2016
Biografia Mr. King joined PineBridge’s predecessor company in 2000. He is a Managing Director, responsible for interest rate, currency and credit risk on both multi-currency and single currency bond portfolios. During his tenure at the firm, Mr. King has been in charge of initiating both Euro and Global Aggregate Bond products, both of which combine interest rate, currency and credit risk within a portfolio to provide a broad selection of alpha opportunities. Mr. King’s financial industry experience began in 1989 at J.P. Morgan Investment Management, where he was responsible for managing both single and multi-currency bond portfolios on behalf of pension funds and private clients. In his 11-year tenure with J.P. Morgan, Mr. King undertook positions in capital markets research, fixed income trading and portfolio management where he focused on risk management techniques, the use of derivatives and macro economic analysis. Mr. King received a BSc (Honors) in Geography and Statistics from the University of Southampton. He holds the Investment Management Certificate (IMC). Mr. King is also registered as a holder of the Commodity Futures Trading Commission (CFTC) Series 3 qualification.
Rajeev Mittal Portfolio Manager 2002 2013
Biografia RAJEEV MITTAL Managing Director, CEO, PineBridge Investments Asia Limited (Asia ex Japan) Head of Emerging Markets and International Fixed Income Rajeev Mittal, in his role as CEO for Asia Ex Japan, is responsible for implementing PineBridge’s dynamic growth strategy across the Asia Pacific region where PineBridge has a long history of servicing both institutional and retail clients. Prior to taking on his expanded role in Asia and relocating to Hong Kong from London early in 2011, Rajeev was CEO for PineBridge Investments in Europe. Rajeev is also Head of Emerging Markets and International Fixed Income, overseeing all aspects of portfolio management, research and trading of emerging market strategies in hard and local currencies and credit default swaps. He is also a member of the firm’s Management Committee, a member of the Fixed Income Asset Allocation Team and also represents fixed income in the Global Asset Allocation Committee meetings. Since joining the firm in 1992, Rajeev’s responsibilities have included portfolio management of single currency U.S. Dollar, Sterling, and Irish Punt portfolios, as well as global bond portfolios. He became Head of International Fixed Income in March 2009, overseeing Global Sovereign strategies and various country specific strategies focused in Asia. He received a BSc (Hons) in Mathematics and Statistics from the University of Bradford.
Hachidai Ueda - 2009 2012
Biografia Mr. Ueda joined PineBridge in 2005 and is a Portfolio Manager with the Investment Grade Fixed Income Team. He is responsible for multi-currency bond portfolios. Mr. Ueda’s financial industry experience began in 1999 at Dai-Ichi Kangyo Asset Management Co. Ltd., where he was responsible for multi-currency bond portfolios on behalf of pension funds and investment trust funds. He is a Chartered Member of the Security Analysts Association of Japan.
Douglas C. Jones vice president, portfolio manager, and Analyst 1999 2006
Biografia Jones is vice president, portfolio manager, and analyst for Sit Investment Associates, his employer since 1981. From 1970 to 1981, he worked as an analyst and portfolio manager for First Bank Systems. Jones is a member of the Twin Cities Society of Security Analysts and the National Association of Petroleum Investment Analysts.
William Trimbur Portfolio Manager, Vice President, Investment Officer 1991 2000
Biografia Trimbur is a portfolio manager and vice president with American General Investment Management, his employer since May 1998. He also serves as an investment officer of American General Series Portfolio Company. Previously, he was a portfolio manager and vice president with VALIC, his employer from 1980 to May 1998. Prior to joining the company, he worked for Weinstein & Spira, certified public accountants. Trimbur holds the Chartered Financial Analyst designation and he is a Certified Public Accountant.
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