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Virtus Vontobel Greater European Opportunities Fund Class I (0P0000IWMV)

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Virtus Vontobel Greater European Opportunities Fun historical data, for real-time data please try another search
11.040 +0.010    +0.09%
27/12 - Closed. Currency in USD
Type:  Fund
Market:  United States
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 2.82M
Virtus Vontobel Greater European Opportunities Fun 11.040 +0.010 +0.09%

0P0000IWMV Overview

 
On this page you'll find an in-depth profile of Virtus Vontobel Greater European Opportunities Fund Class I. Learn about the key management, total assets, investment strategy and contact information of 0P0000IWMV among other information.
Category

Europe Stock

Total Assets

2.82M

Expenses

1.11%

Inception Date

Apr 21, 2009

Contact Information

Address Greenfield, MA, 01301
Greenfield,MA 01301
United States
Phone +1 8002431574

Top Executives

Name Title Since Until
Markus Hansen Senior research analyst 2020 Now
Biography Markus Hansen has been a Portfolio Manager for the Quality Growth Boutique since June 2020. He joined Vontobel Asset Management in April 2016 as a Senior Research Analyst assisting the Chief Investment Officer and portfolio managers in stock research and selection. Starting in 2020, he expanded his role to Portfolio Manager for the firm’s European Equity strategy. In addition to his portfolio management responsibilities, he continues to conduct research analysis on individual stocks which may be included in the firm’s other strategies, primarily focusing on the Consumer Staples, Consumer Discretionary, and Communication Services sectors. Prior to joining Vontobel Asset Management, Markus Hansen served as a Co-Portfolio Manager and Senior Research Analyskrot from 2010 to 2016 at SLS Management, LLC responsible for European and U.S. stock research. From 2007-2010, he was a Senior Research Analyst at McKinley Capital Management in New York covering mid-large cap global equity companies as well as emerging market stocks. From 2006-2007 he worked at Brahman Capital Corporation in New York covering international and U.S. equity securities. From 1996-2006 he was the Managing Director of Hedge Fund Sales at Société Générale USA in New York. He began his financial career in 1994 covering European companies at Hoare-Govett (ABN AMRO) in London. Markus Hansen received his Bachelor of Arts in Economics from Heriot-Watt University in Edinburgh.
Daniel Kranson Executive Director, Portfolio Manager, Senior Research Analyst 2013 Now
Biography Daniel (Donny) Kranson, Executive Director and Portfolio Manager at Vontobel, has served as a deputy portfolio manager of the International Equity Fund since April 2017. Mr. Kranson joined Vontobel Asset Management, Inc., in July 2007 as a senior research analyst covering stocks globally. Although he is responsible for analyzingvarious sectors, he is largely focused on Consumer Staples, a core sector for all of Vontobel’s Quality Growth strategies. In 2013, Mr. Kranson was promoted to deputy portfolio manager of the Vontobel European Equity Strategy, and in 2016, Mr. Kranson became lead portfo
Rajiv Jain Chairman 2013 2016
Biography Rajiv is the Chairman and Chief Investment Officer of GQG Partners and also serves as a portfolio manager for all GQG Partners strategies. He commenced investment operations at GQG Partners in June 2016 and has over 25 years of investment experience. Previously, Rajiv served as a Co-Chief Executive Officer and Chief Investment Officer and Head of Equities at Vontobel Asset Management. Prior to that, he was an International Equity Analyst at Swiss Bank Corporation. Rajiv earned an MBA in Finance and International Business from the University of Miami.
Matthew Benkendorf CIO (Chief Investment Officer) 2009 2015
Biography "Matthew Benkendorf has been Chief Investment Officer of Vontobel’s Quality Growth Boutique since March 2016 and was a co-architect of Vontobel’s quality growth philosophy and style. He joined Vontobel Asset Management in 1999 in trade support and was promoted to Trader in 2000. He became a Research Analyst in 2002 and moved into portfolio management in 2006 on the firm’s European Equity strategy. Since 2008, he has further developed his responsibilities and, in turn, became Portfolio Manager on the Global, US, International, and Emerging Markets Equity strategies.
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