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Bnp Paribas Funds Sustainable Asian Cities Bond Privilege Distribution (0P0000YV1Y)

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75.110 -0.130    -0.17%
02/06 - Delayed Data. Currency in USD
Type:  Fund
Market:  Luxembourg
ISIN:  LU0823380398 
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 48.82M
Parvest Bond Asia ex Japan Privilege Distribution 75.110 -0.130 -0.17%

0P0000YV1Y Overview

 
On this page you'll find an in-depth profile of Bnp Paribas Funds Sustainable Asian Cities Bond Privilege Distribution. Learn about the key management, total assets, investment strategy and contact information of 0P0000YV1Y among other information.
Category

Asia Bond

Total Assets

48.82M

Expenses

0.73%

Inception Date

Dec 10, 2013

Contact Information

Address 18 Harbour Road, Wanchai
Hong Kong,* *
Hong Kong
Phone 852-2126-2228
Fax 852-2509-4371

Top Executives

Name Title Since Until
Alaa Bushehri - 2020 Now
Biography Alaa is a Portfolio Manager for the Emerging Markets Fixed Income team at BNP Paribas Asset Management. She has responsibility for managing external portfolios and for research alpha ideas for Emerging Markets Corporates. Alaa joined FFTW, a predecessor of BNP Paribas Asset Management, in 2004 and is based in London. Alaa joined the BNP Paribas Group at their MENA headquarters in Bahrain where she spent a number of years at BNP Paribas Corporate and Investment Banking group in relationship management, credit analysis and risk management. She was responsible for leading the project leading to the first QIF Sukuk Fund and she created and developed the proprietary credit risk model. Alaa has 12 years of investment experience. She holds a BSc in Finance from Drake University and an MBA from Imperial College London.
Guy Basile Tossou - 2020 Now
Biography Guy is a Trader for the Emerging Markets Fixed Income team and a Portfolio Manager for Frontier Markets External Debt at BNP Paribas Asset Management. He joined FFTW, a predecessor of our firm, in 2003 and is today based in London. Prior to his current position, Guy was Head of Emerging Markets Fixed Income Trading and Associate Portfolio Manager for Emerging Markets Fixed Income. He began his career at INFREP as an Assistant Finance Manager. Guy has 18 years of investment experience. He earned a graduate degree in Finance and Accountancy from Conservatoire National des Arts et Métiers Paris.
Jean-Charles Sambor - 2020 Now
Biography Jean-Charles is the Deputy Head of Emerging Market Fixed Income (EMFI) at BNP Paribas Asset Management. In this role, he is responsible for supporting the management of all EMFI portfolios and developing a unified EMFI investment process. Jean Charles joined FFTW, a predecessor of BNP Paribas Asset Management, in 2016 and is based in London.Prior to joining us, Jean-Charles was at the Institute of International Finance (IIF) where he served as Asia-Pacific Regional Director and CEO of IIF APAC Ltd in Singapore. Prior to that, he was a Senior Portfolio Manager and Head of Emerging Markets Fixed Income for Everest Capital, where he was responsible for the launch and management of an absolute return emerging market debt fund as well as a long only frontier markets fixed income fund. Prior to that, he worked as a Senior Vice President in the EMFI Team at Trust Company of the West (TCW) in Los Angeles. Jean-Charles has 14 years of investment experience. He is an alumnus of Ecole Normale. He holds a BA in Economics and Philosophy and a master’s degree in Epistemology and Philosophy of Economics from Sorbonne University. He also holds a master’s degree in International Economics from UPMF in Grenoble, France.
Rick Cheung - 2020 Now
L. Bryan Carter Head 2017 2020
Biography Bryan is the Head of Emerging Market Fixed Income (EMFI) at BNP Paribas Asset Management. In this role, he is responsible for setting strategy, generating alpha ideas and risk budgeting for the firm’s emerging markets fixed income business. Bryan joined our firm in 2016 and is based in London. Prior to joining us, Bryan was a Portfolio Manager at Acadian Asset Management, where he was lead manager for the Emerging Market Debt and Global Absolute Return Bond strategies. Prior to that, he was an Economist at T. Rowe Price Associates Inc., where he developed economic models to analyze global economic data, estimate risks to growth and inflation, and forecast interest rates. He began his career as an International Economist at the United States Treasury Department, where he recommended US vote on hundreds of International Monetary Fund, World Bank and Inter-American Development Bank loans. Bryan has 13 years of investment experience. He holds a bachelor’s degree in Economics and Spanish from Georgetown University as well as a Master of International Development from Harvard University. Bryan is a CFA charterholder.
Adeline Ngee Cheng Ng Portfolio Manager 2013 2017
Biography Adeline was appointed as Head of Fixed Income, Asia in December 2017. She is responsible for managing Asia fixed income assets and directing alpha generation for the asset class. Prior to joining Aviva, Adeline was the Head of Asian Fixed Income in BNP Paribas Asset Management (“BNPPAM”) based in Singapore. She was responsible for managing Asia fixed income portfolios. In addition to leading the Singapore-based team, Adeline was also responsible for directing alpha generation for Asia (ex Japan), covering hard currency credits and local currency and interest rates. She had a regional coordination role vis-à-vis the other local fixed income teams within BNPP IP in Asia (China, India, Indonesia, Korea and Malaysia). She also served as Chief Executive Officer for BNPP Investment Partners and FischerFTW Singapore and a Board Member of BNPPAM. Previously, Adeline worked at Fortis Investments and ABN AMRO Asset Management (“AAAM”). She joined AAAM as a Portfolio Manager in December 2001 and was subsequently appointed as Head of Singapore Fixed Income in November 2005, then Head of Asia Fixed Income in April 2008. Prior to joining AAAM, she was the Regional Assistant Vice President – Investments with John Hancock International (Southeast Asia) Ltd, overseeing Global and Asia fixed income investment in Asia. Before joining John Hancock, she was the Deputy Head of Fixed Income with OUB Asset Management, where she managed Global and Asian fixed income portfolios. She was among the pioneers in managing global sovereign emerging market collateralized bond obligation funds in Singapore. She graduated from the Nanyang Technological University with a Bachelor of Business degree (2nd Class Honors–Upper Division), majoring in Financial Analysis. She is a CFA charter-holder since 1998 and a certified Financial Risk Manager since 2002.
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