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Allianz Strategiefonds Wachstum Plus I Eur (0P000090YV)

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2,823.610 -8.080    -0.29%
20/12 - Delayed Data. Currency in EUR
Type:  Fund
Market:  Germany
ISIN:  DE0009797316 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 36.9M
Allianz Strategiefonds Wachstum Plus I EUR 2,823.610 -8.080 -0.29%

0P000090YV Overview

 
On this page you'll find an in-depth profile of Allianz Strategiefonds Wachstum Plus I Eur. Learn about the key management, total assets, investment strategy and contact information of 0P000090YV among other information.
Category

Global Large-Cap Blend Equity

Total Assets

36.9M

Expenses

0.79%

Inception Date

Jun 13, 2007

Contact Information

Address L-2633 Senningerberg
Frankfurt am Main, 60323
Germany
Phone +49 (0) 69 2443-1140
Fax Milano

Top Executives

Name Title Since Until
Erik Mulder - 2022 Now
Biography Erik Mulder Erik Mulder is a portfolio manager in the Systematic Equity team since 2008. He manages Best Styles Global AC Equity, Best Styles Pacific Equity as well as Stable Growth Europe Equity strategy. Previously, Erik worked for IDS, a 100% subsidiary of Allianz SE, specialising in the area of performance and risk analytics of equity portfolios. Erik started his career at Dresdner Asset Management in Frankfurt, Germany in 1999. He obtained a master’s degree in Business Administration from Erasmus University Rotterdam, the Netherlands in 1999. He has been a Certified Financial Risk Manager (FRM) since 2003 and a CFA charterholder since 2004.
Kai Hirschen - 2022 Now
Biography Mr. Hirschen is a portfolio manager with Allianz Global Investors, which he joined in 2009. He is a member of the Systematic Equity team and manages High Dividend Global mandates, including enhanced dividend strategies with an option overlay. Mr. Hirschen. He previously worked for a leading international consultancy in risk management and risk modeling. Mr. Hirschen has a master’s degree in mathematics from the University of Hannover, Germany, a master’s degree in finance and accounting from the University of Frankfurt, Germany, and a doctorate from the University of Darmstadt, Germany. He is a CFA charterholder and a CAIA charterholder, and holds the Financial Risk Manager designation.
Rainer Tafelmayer Portfolio Manager 2017 2022
Biography Rainer Tafelmayer Dr. Rainer Tafelmayer is a portfolio manager in the Systematic Equity team since 2002. Before that he was in charge of the development and implementation of statistical arbitrage strategies like equity pairs trading. Rainer has previously worked as a business consultant in the area of finance and risk management since 1995. Prior to that he worked as a researcher on operations research at the Technical University of Chemnitz, Germany. He holds a master’s degree in Physics from the University of Heidelberg, Germany, and received a PhD in 1993. Rainer has been a Certified Financial Risk Manager (FRM) since 2005.
Magnus Weis - 2017 2021
Biography Mr. Weis is a portfolio manager with Allianz Global Investors, which he joined in 2004. He is a member of the Systematic Equity team and manages Best Styles Global Equity mandates. Mr. Weis previously worked at an IT consultancy on several projects for Allianz Global Investors involving quality management, development, support and design of applications. Mr. Weis has a master’s degree in physics and a doctorate in theoretical glaciology and numerical modeling from the University of Technology in Darmstadt, Germany.
Karsten Niemann Portfolio Manager 2008 2017
Biography Karsten Niemann is a portfolio manager in the Systematic Equity team. He manages Best Styles Europe Equity as well as European High Dividend mandates with more than USD 9bn assets under management. He joined the company in 1998 as a quantitative analyst. In his capacity as portfolio manager he as well successfully managed Best Styles Global and Best Styles Euroland products. Karsten obtained a master’s degree in economics from the University of Bonn, Germany. He has been a CFA charterholder since 2001.
Michael Knies - 2006 2008
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