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The objectives of the Fund is to achieve long term capital appreciation and income gain by investing mainly in any form of debt securities (such as but not limited to government or corporate bonds, structured debt securities like asset-backed securities (ABS) or mortgage-backed securities (MBS), inflation-indexed bonds), including money market instruments. The Fund aims at reducing the volatility of its net asset value resulting from exchange rate movements.
Name | Title | Since | Until |
---|---|---|---|
Jon Mawby | - | 2020 | Now |
Biography | Jon joined ECM in December 2005 from Gartmore Investment Management, where he was Portfolio Manager and Trader in the Institutional European Credit Group, working primarily on relative value CDS trading for the European Credit Hedge Fund. Prior to this, Jon was a Sterling Fund Manager at Morley Fund Management. Jon has a BA (Hons) in Economics from Durham University and is a CFA charterholder. | ||
Charles-Antoine Bory | - | 2020 | Now |
Mathieu Magnin | - | 2015 | Now |
Justine Vroman | - | 2019 | 2020 |
Biography | Justine previously worked at Pictet Asset Management as a Senior Investment Manager. She was lead Portfolio Manager on a number of Credit Investment Grade and Crossover strategies, including a Global Sustainable Credit fund. She additionally contributed to the development of a proprietary ESG framework. Justine holds a Master’s in Management from EDHEC Business School (France) and an MSc in Finance from the University of Strathclyde (UK). She is also a Certified International Investment Analyst (CIIA). | ||
Frédéric Salmon | - | 2015 | 2020 |
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