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Voya Vacs Series Emcd Fund (IMCDX)

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Voya Emerging Markets Corporate Debt P historical data, for real-time data please try another search
8.71 0.00    0%
08/01 - Delayed Data. Currency in USD
Type:  Fund
Market:  United States
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 57.36M
Voya Emerging Markets Corporate Debt P 8.71 0.00 0%

IMCDX Overview

 
On this page you'll find an in-depth profile of Voya Vacs Series Emcd Fund. Learn about the key management, total assets, investment strategy and contact information of IMCDX among other information.
Category

Emerging Markets Bond

Total Assets

57.36M

Expenses

0.11%

Inception Date

41130

Contact Information

Address 7337 E. Doubletree Ranch Road
Scottsdale,AZ 85258
United States
Phone 1-800-366-0066

Top Executives

Name Title Since Until
Anil Katarya MD Global Head of Investment Grade Credit 2022 2024
Biography Anil Katarya is co-head of investment grade credit and senior portfolio manager at Voya Investment Management. Previously, Anil was the head of credit portfolio management and also served as a portfolio manager and credit analyst on the investment grade team since joining Voya in 2000. Prior to joining the firm, Anil was a financial analyst for Mirant Inc. He received a BS in mechanical engineering from Kurukshetra University, India, and an MBA from Georgia State University. Anil holds the Chartered Financial Analyst® designation.
Anthony A. Routh VP Portfolio Manager 2021 2024
Biography Anthony Routh is a portfolio manager for the emerging market debt team at Voya Investment Management. Previously, he was a portfolio manager for the structured finance team, covering non-agency mortgages and asset-backed securities. Anthony started his career as an analyst for the non-agency MBS trading desk at the firm. Anthony received a BBA in finance from the University of Georgia.
Jean-Dominique Bütikofer Portfolio Manager 2014 2022
Biography Jean-Dominique Bütikofer, CFA, Portfolio Manager, is Head of Emerging Markets for Voya IM’s fixed-income team. Mr. Bütikofer directs the investment strategy for Emerging Markets, including sovereign and corporate debt, macro analysis, country research, sovereign risk, currencies, local rates and asset allocation across sub asset-classes. Prior to joining Voya IM in 2014, he served as the head of emerging markets fixed income — macro, sovereign and currencies — for Union Bancaire Privee (UBP Investment Management) in Zurich (2006-2014).
Kurt Kringelis Portfolio Manager 2013 2022
Biography Kurt Kringelis, CFA, CPA, JD Head Macro Credit Strategist Kurt Kringelis is head macro credit strategist at Voya Investment Management. In this role Kurt provides credit market insight and macro research broadly across the Fixed Income Team. Kurt’s most recent role with the firm was as senior portfolio manager and head of credit strategy within the investment grade team with oversight responsibility for investment grade research. Prior roles with the firm included interim oversight of the emerging markets corporate team and joint oversight responsibility for the high yield team. Prior to joining the firm, Kurt was an associate portfolio manager with the high yield group at Equitable Investment Services where he began his career as a high yield analyst. He received a BS in finance, an MBA and a JD from the University of Illinois. Kurt is a Certified Public Accountant, holds the Chartered Financial Analyst® designation, and is a licensed attorney in the state of Illinois.
Robert Turner Credit Analyst 2014 2017
Biography Robert Turner is a Senior Portfolio Manager within Invesco Fixed Income. Robert joined Invesco on 5 June 2017. Prior to joining Invesco he spent 10 years with Voya Investment Management where he was a portfolio manager within multiple credit asset classes. Prior to joining Voya IM in 2007, he was a credit analyst with Freddie Mac (2004-2007) where he analyzed mortgage purchase agreements. Robert earned his BA with a focus in Political Science from University of Arizona and a Masters of Business Administration from Georgia State University.
Anil Katarya MD Global Head of Investment Grade Credit 2013 2014
Biography Anil Katarya is co-head of investment grade credit and senior portfolio manager at Voya Investment Management. Previously, Anil was the head of credit portfolio management and also served as a portfolio manager and credit analyst on the investment grade team since joining Voya in 2000. Prior to joining the firm, Anil was a financial analyst for Mirant Inc. He received a BS in mechanical engineering from Kurukshetra University, India, and an MBA from Georgia State University. Anil holds the Chartered Financial Analyst® designation.
Michael Hyman Portfolio Manager 2012 2013
Biography Michael Hyman, Portfolio Manager, who has been responsible for the Fund since 2019 and has been associated with Invesco and/or its affiliates since 2013. Previously, Mr. Hyman was with ING Investment Management and ING Institutional Markets for 12 years. At ING, he was the head of investment grade corporate credit, responsible for investment grade corporate credit as well as collaterized loan obligation and synthetic collateralized debt obligation investment portfolios. Mr. Hyman earned a BSE degree in finance from Pennsylvania State University and an MBA from NYU.
Jennifer Gorgoll Managing Director 2012 2013
Biography Jennifer Gorgoll, CFA, Managing Director, joined the firm in 2013. Jennifer is a Co-Lead and Senior Portfolio Manager on the Emerging Markets Corporate Debt team responsible for global portfolios investing in high grade and high yield emerging market corporate debt across the regions. Jennifer joined the firm after working at ING Investment Management, where she was most recently the head and a senior portfolio manager of the Emerging Markets Corporate Debt team. Before that Jennifer worked in ING’s Private Placement group, where she focused on private fixed income investments in emerging market corporates and structured credit. She also spent several years in the Special Asset Group, where she was responsible for restructuring distressed assets globally. Prior to joining ING Investment Management, Jennifer worked at Prudential Capital Group specializing in private placements for U.S.-domiciled companies based in the Southeast, and before that worked in the Financial Institutions Group at Salomon Brothers Inc. and at Patricof & Co. Capital Corp., a boutique investment bank. Jennifer received an MBA with Honors from Columbia Business School with a concentration in Finance and a BS in Finance and Insurance from The Honors College at the University of South Carolina. Jennifer has been awarded the Chartered Financial Analyst designation.
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