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Bnp Paribas Global Floating Rate Portfolio 2023 Classic Inc (0P0001H79M)

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BNP Paribas Global Floating Rate Portfolio 2023 Cl historical data, for real-time data please try another search
71.490 +0.280    +0.39%
31/03 - Closed. Currency in USD ( Disclaimer )
Type:  Fund
Market:  Luxembourg
ISIN:  LU1932663120 
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 77.24M
BNP Paribas Global Floating Rate Portfolio 2023 Cl 71.490 +0.280 +0.39%

0P0001H79M Overview

 
On this page you'll find an in-depth profile of Bnp Paribas Global Floating Rate Portfolio 2023 Classic Inc. Learn about the key management, total assets, investment strategy and contact information of 0P0001H79M among other information.
Category

Fixed Term Bond

Total Assets

77.24M

Expenses

Inception Date

Feb 08, 2019

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
Alex Zunega - 2020 Now
Biography Alex is a Senior Investment Analyst for the Emerging Markets Fixed Income team at BNP Paribas Asset Management. In this role, Alex will assist portfolio managers with implementing investment strategies and crafting trade ideas subject to client objectives and constraints. Alex joined our firm in 2016 and is based in London. Prior to joining us, Alex was at Acadian Asset Management, where he served as an Assistant Vice President on the Model Integration team for Emerging Markets Fixed Income. Prior to that, Alex spent eight years in fund management in Brazil, starting out at Unibanco. He recently achieved the CFA Level II and is studying for the Level III. Alex has 10 years of investment experience. He holds an MBA from the Tuck School of Business at Dartmouth (USA) and earned his undergraduate degree at the Universidade de Sao Paulo (Brazil).
Jean-Charles Sambor - 2019 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.
L. Bryan Carter Head 2019 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.
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