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Stewart Investors Indian Subcontinent Sustainability Fund Class B (accumulation) Gbp (0P0000X4NO)

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4.82 -0.03    -0.56%
03/05 - Closed. Currency in GBP ( Disclaimer )
Type:  Fund
Market:  United Kingdom
ISIN:  GB00B1FXTG93 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 687.32M
Stewart Investors Indian Subcontinent Fund Class B 4.82 -0.03 -0.56%

0P0000X4NO Overview

 
On this page you'll find an in-depth profile of Stewart Investors Indian Subcontinent Sustainability Fund Class B (accumulation) Gbp. Learn about the key management, total assets, investment strategy and contact information of 0P0000X4NO among other information.
Category

India Equity

Total Assets

687.32M

Expenses

Inception Date

Nov 09, 2012

Contact Information

Address Sudirman Central Business District
London,- EC2M 7EB
United Kingdom
Phone +44 20 73326500
Fax 44 (0)20 7332 6501

Top Executives

Name Title Since Until
David Gait Lead Portfolio Manager 2012 Now
Biography David Gait is Head of the Stewart Investors Investment Team and a Portfolio Manager. He sits on the Stewart Investors Board. David joined the team as a graduate in 1997. He is Lead Manager of the Asia Pacific Leaders Sustainability and Asia Pacific Sustainability strategies, as well as Pacific Assets Trust. David holds an MA with honours in Economics from Cambridge University, and holds a Master of Science in Investment Analysis from Stirling University.
Sashi Reddy - 2012 Now
Biography Sashi Reddy is a Portfolio Manager with the Sustainable Funds Group at Stewart Investors. He joined the team in August 2007. Sashi is lead manager of the Worldwide Leaders Sustainability strategy and the Indian Subcontinent Sustainability strategy. Previously, he worked at Irevna Research, an Indian equities research house from 2005 to 2007. Sashi has an engineering degree from the National Institute of Technology, Trichy and an MBA from the Schulich School of Business, York University in Toronto.
Jack Nelson - 2016 2023
Biography Jack Nelson is a Portfolio Manager at Stewart Investors. He joined the team in September 2011 as a graduate. Jack is Lead Manager of the Global Emerging Markets Leaders Sustainability strategy. He holds a MA (Oxon) in Politics, Philosophy and Economics from Queen’s College, Oxford.
Angus Tulloch Joint Managing Partner 2008 2009
Biography Angus Tulloch is Joint Managing Partner of the Asia Pacific/ Global Emerging Markets equity team at First State Investments. Angus’ primary focus is stock selection and portfolio construction. Graduating from Cambridge University in 1970 with a BA (Honours) in Economics and History, Angus worked with Chartered Accountants Whinney Murray (now Ernst & Young) for four years. He then gained substantial industry experience in corporate planning and finance roles with various national companies before joining London stockbrokers Cazenove & Co in 1980. Specialising mainly in Far Eastern markets, Angus spent three of the next eight years with this firm based in Hong Kong as a regional analyst before assuming a fund management role in its London office. In 1988 he returned to Scotland, joining Stewart Ivory (subsequently bought by First State Investments) to establish an Asia Pacific and Emerging Markets capability. Since then, Angus and his team have won many industry awards.
Vijay Tohani Senior Portfolio Manager 2006 2008
Biography Vijay Tohani is a Senior Portfolio Manager with First State Investments' Asia Pacific (ex-Japan)/Global Emerging Markets team, having joined the company as a Senior Analyst in April 2000. Vijay initially covered China and South East Asia until the end of 2000 and now focuses on Emerging Asia, in particular Korea and the Indian Sub-continent. Vijay took on portfolio manager responsibilities in October 2003. He relocated from Edinburgh to Singapore in July 2006.Vijay began his career with Ernst & Young where he worked in the audit department specialising in banking and financial services companies from the period 1991-1994. Vijay started his investment career, first on the sell-side, as an Asian Equity Sales specialist for stockbrokers Worldsec International Ltd from 1996-1997 and then on the buy-side, as an Investment Analyst with John Hancock Advisers International Ltd from 1997-1999. Vijay is a CFA charterholder and an Associate member of the UK Society of Investment Professionals.
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