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Ubs (lux) Sicav 2 - Usd Corporate Bond Sustainable (usd) I-x-ukdist (0P0001795I)

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UBS (Lux) SICAV 2 - USD Corporate Bond Sustainable historical data, for real-time data please try another search
   %
- Closed. Currency in USD
Type:  Fund
Market:  Luxembourg
ISIN:  LU1336832248 
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 42.09M
UBS (Lux) SICAV 2 - USD Corporate Bond Sustainable %

0P0001795I Overview

 
On this page you'll find an in-depth profile of Ubs (lux) Sicav 2 - Usd Corporate Bond Sustainable (usd) I-x-ukdist. Learn about the key management, total assets, investment strategy and contact information of 0P0001795I among other information.
Category

USD Corporate Bond

Total Assets

42.09M

Expenses

Inception Date

Apr 12, 2016

Contact Information

Address 33A, avenue J.-F. Kennedy, L-1855 Luxembourg
Luxembourg, L-1855
Luxembourg
Phone +352-441 0101

Top Executives

Name Title Since Until
Felipe Telles - 2019 Now
Biography Felipe Telles is a portfolio manager on the credit portfolio management team. His responsibilities include trading, portfolio management and analysis, and working with the senior credit portfolio management in the planning and execution of credit strategies. Prior to his role as a portfolio manager, Felipe was a member of the Global Credit Research team and was responsible for the credit coverage and development of trade recommendations for Global Industrials. Felipe joined UBS Asset Management in April 2012. Prior to joining UBS, Felipe gained experience with KPMG Sydney.
David Vignolo - 2019 Now
Biography David Vignolo heads the US Corporate strategy team and is responsible for developing and implementing duration, yield curve, sector and issue selection decisions in US investment grade credit and long duration credit strategies. Prior to joining the firm in 2012, David was the Head of Corporate Strategy at Deutsche Asset Management/DB Advisors. In this role he managed the corporate trading team and was responsible for dedicated corporate bond mandates as well as corporate strategy within Enhanced Core, Core and Gov/Credit mandates. Prior to Deutsche Asset Management/DB Advisors, David was a Portfolio Manager and Senior Corporate Bond Trader at Invesco, where he was responsible for managing the corporate trading team. Previous experience includes fixed income portfolio management roles with Conning Asset Management and ANB Investment Advisors.
Robert Martin Portfolio Manager 2019 Now
Biography Martin is a portfolio manager at a member company of the Principal Financial Group with responsibility for all municipal products. Prior to joining Principal in 2001, he was a senior vice president and managed municipal bond portfolios at the Trust Company of the West in New York. He is a member of the Municipal Bond Forum of New York, Municipals Buyers Conference and the Portfolio Investment Group.
Ryan Raymond - 2019 2019
Biography Ryan Raymond is a portfolio manager on the credit portfolio management team. His responsibilities include trading cash and derivative credit products, portfolio management and analysis, and working with the senior credit portfolio management in the planning and execution of credit strategies. Prior to joining the credit team, Ryan was responsible for management of US money market portfolios and assisted in the management of enhanced cash and short duration portfolios. Ryan joined the firm in 2003 as a Fixed Income Operations Assistant. He was responsible for processing trade information, trade notification to custodians, the resolution of settlement issues, and maintenance of account information.
Marko Pavic - 2018 2019
Biography Marko Pavic is a member of the Eurodollar Fixed Income team at UBS Asset Management with responsibilities for the management of USD money market and USD short- and medium term investment portfolios. In addition, he is deputy fund manager for CHF, AUD and CAD money market funds as well as for long term and corporate credit investment portfolios in USD. Marko is a member of the Eurodollar Fixed Income Strategy committee and the European Money Market committee. Prior to joining UBS in 2013, Marko was a fund manager at Clariden Leu in Zurich for short term strategy funds in various currencies. He took a major role in launching Clariden Leu's Liquidity Solution franchise. After merging with Credit Suisse, Marko was a fund manager for Credit Suisse Zurich, managing short duration credit funds and floating rate strategy funds in USD und EUR. In addition, he was deputy fund manager for Credit Suisse money market funds. At Clariden Leu and Credit Suisse he also was member of the Fixed Income corporate credit committee, responsible for the banking and financials sector.
Géraldine S. Haldi - 2018 2019
Biography Géraldine Haldi is a member of the fixed income team based in Zurich and is lead Portfolio Manager for several actively managed US dollar credit portfolios. In addition, Géraldine is managing passive single and multi-currency segregated mandates and funds. In that role she is also responsible for managing currency risk as well as executing FX transactions for the Zurich FI team. She joined UBS Asset Management as quantitative analyst in 2007 after graduating her master studies in finance and business administration in Basel. She moved to the portfolio manager role in 2011.
Anna-Huong Findling - 2011 2019
Willy Schmassmann - 2005 2015
Biography Willy Schmassmann is responsible for structuring and managing Swiss franc investments as well as institutional funds at UBS Asset Management. Willy is a member of the Swiss Franc Fixed Income Strategy Committee. Willy started with the former Swiss Bank Corporation (SBC) in 1973 as a banking apprentice. From 1975 to 1979 he worked at SBC Lausanne, where he dealt bank notes and handled the wholesale and retail tills in the bureau de change. He moved to SBC London for three years to gain general banking and trading experience. He then returned to SBC Basel to be responsible for the trading and execution of Eurobonds. In 1986 he became Head of Foreign Currency Bond trading with responsibility for Swiss Bond trading added in 1990. At the same time he was a Portfolio Manager for Universal Bond Selection and AST (Anlagestiftung) as well as a member of respective investment committees. In 1994 he joined the Institutional Asset Management business group to become a Portfolio Manager for investment and institutional funds. He took on his present post in 1994.
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