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Panza Premium A Fi (0P0001Q49R)

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16.792 +0.050    +0.31%
20/11 - Delayed Data. Currency in EUR
Type:  Fund
Market:  Spain
Issuer:  Panza Capital SGIIC
ISIN:  ES0167986001 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 9.55M
Panza Premium FI 16.792 +0.050 +0.31%

0P0001Q49R Overview

 
On this page you'll find an in-depth profile of Panza Premium A Fi. Learn about the key management, total assets, investment strategy and contact information of 0P0001Q49R among other information.
Category

Global Large-Cap Growth Equity

Total Assets

9.55M

Expenses

0%

Inception Date

Nov 18, 2022

Contact Information

Address C/ Serrano 45, Planta 4ª - 28001 Madrid (Madrid)
Madrid,Madrid 28001
Spain
Phone -

Top Executives

Name Title Since Until
Beltrán de la Lastra CIO & Founder 2022 Now
Biography Panza Capital-(CIO & Founder): Investment leader of Panza Capital a newly formed independent asset manager mostly serving retail clients in Spain investing in Europe and US. Bestinver-(NON COMPETE): 2 years non compete contract with Bestinver. Bestinver-( CIO & President): Investment and business head of a $7 billion book in equity mandates for the leading independent asset manager in Spain. The investment process is based on a team of 7 investment specialists focus in European and Global EquitiesAwarded best Expansion Domestic Asset Manager in Spain 2017. JPMORGAN INVESTMENT MANAGEMENT-( CIO European Core Research & International Enhanced Equities): Investment and business head of a $13.5 billion book in equity mandates for Retail and Institutional clients. The investment process is based on a team of 7 experienced portfolio managers that combine access to fundamental research analysis with disciplined portfolio construction. The mandates that we run are either single region (Europe, Asia, UK and Japan) or multi-region (Global, EAFE, Kokusai) as mutual funds or as segregated accounts. European Equities mandates represent 50% of the current book of business. While most of the assets are Institutional segregated mandates I manage a number of mutual funds which I detail below. The flagship fund is Europe Select. All the mutual funds that I manage within Europe Equities target excess returns with strong risk management: JPM Europe Select Equity: Morningstar ***** share classes B,C. Lower for more expensive share classes given the riskbudget JPM Europe Select Equity Plus: Morningstar **** share classes A JPM Euroland Select Equity: Morningstar ***** share classes B, C JPM Global REI Fund: Morningstar ***** share classes X “A” share classes may have lower star rating given the controlled risk budget and fees Within pension funds publicly quoted I manage: JPM Life Continental Europe Select Equity: Lipper Leader 5 rating. This represents the top score which represents the top 20% compared to peers in areas such as preserving capital or building wealth through consistent, strong returns ETF: Responsible for the 1st ever launched ETF by JPMorgan Investment Management (June 2014). JPM Global Equities Diversified Return (JPGE US Equity) Member of JPMorgan Investment Management EMEA Operating Committee JP MORGAN SECURITIES Ltd-(DERIVATIVES QUANTITATIVE ANALYST): Hybrid derivatives - pricing and risk management for JP Morgan Exotic Derivatives Book.
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