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Man Glg Flexible Bond D Eur Acc (0P00010280)

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Man GLG Flexible Bond D EUR Acc historical data, for real-time data please try another search
99.272 -0.190    -0.19%
14/09 - Delayed Data. Currency in EUR
Type:  Fund
Market:  Luxembourg
ISIN:  LU0851819986 
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 210.51M
Man GLG Flexible Bond D EUR Acc 99.272 -0.190 -0.19%

0P00010280 Overview

 
On this page you'll find an in-depth profile of Man Glg Flexible Bond D Eur Acc. Learn about the key management, total assets, investment strategy and contact information of 0P00010280 among other information.
Category

Global Flexible Bond - EUR Hedged

Total Assets

210.51M

Expenses

1.62%

Inception Date

Nov 12, 2013

Contact Information

Address Riverbank House, 2 Swan Lane, London EC4R 3AD
London,n/a EC4R 3AD
United Kingdom
Phone +44 (0) 20 7144 100

Top Executives

Name Title Since Until
Craig Veysey - 2018 2020
Biography Craig Veysey joined Man GLG in October 2018 from Sanlam FOUR Partners, where for six years he managed a strategic bond strategy focused on investing in attractively valued corporate and government bond opportunities. Craig has a career spanning over 20 years in the industry. He was responsible for fixed income at Sanlam since 2009 and was the lead fund manager on the Sanlam Strategic Bond strategy since its launch in 2012. Previously, Craig managed global bond funds at Scottish Widows Investment Partnership and WestLB Mellon Asset Management. Before this, he was a senior member of the Global Fixed Income team at HSBC Investment Management. He qualified as an Associate of the UK Society of Investment Professionals in 2001 and is a CFA charterholder. Craig has a degree in economics from Liverpool University and a master’s degree in finance and investment from Exeter University.
Francois Kotze - 2018 2020
Biography Francois joined Man GLG in October 2018 from Sanlam FOUR Partners. Prior to this, Francois joined the fixed income team at Sanlam FOUR in 2017, working alongside Craig as assistant portfolio manager on the strategic bond strategy. Before joining Sanlam FOUR, Francois was a fixed income research analyst at Rathbones Brothers. Prior to that, he was a senior credit and macro analyst at Sanlam, where he also worked with Craig on the Sanlam Strategic Bond strategy. Francois is a CFA charterholder and holds a BSc (Hons) in Economics from the University of Bath.
Simon Finch CIO (Chief Investment Officer) 2018 2018
Biography Simon is Co-Portfolio Manager for the CQS European Distressed Fund, Chief Investment Officer of Credit and is responsible for overseeing credit fund management and credit trading and has specific responsibility for the CQS Credit Long Short Fund. Simon is also a member of the CQS Executive Committee. Prior to joining CQS in 2008, Simon spent a year at Peloton Partners managing a credit portfolio within the multi-strategy fund. Before this, he spent 3 years at CQS running US Credit trading. Prior to this, he spent 10 years at Abbey National where he traded ABS and Corporates; ultimately becoming the Head of Asset Management.
Andy Li - 2014 2018
Biography Li joined MFS in 2018 as a fixed income portfolio manager primarily focused on non–US dollar credit securities. His prior experience includes four years as a portfolio manager at Man GLG, six years as a portfolio manager at ECM Asset Management and two years as a management consultant at Accenture. He earned a Bachelor of Engineering degree with honors in computer science from Imperial College, London.
Jon Mawby - 2013 2018
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.
Steve Roth Portfolio manager 2013 2017
Biography Steve joined GLG in November 2005 to co-manage the GLG Market Neutral and GLG Global Convertible Funds. Prior to that he spent 7 years at Deutsche Bank where he was a managing director and head of the number one ranked European convertible business and subsequently co-head of a proprietary convertible and capital structure arbitrage group. Steve graduated from Cambridge University in 1992 with an MA in Computer Science.
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