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Natixis International Funds (lux) I - Natixis Asia Equity Fund R/d (usd) (0P0000JB4I)

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208.350 +1.290    +0.62%
25/11 - Delayed Data. Currency in USD
Type:  Fund
Market:  Luxembourg
ISIN:  LU0084288322 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 46.65M
Natixis International Funds (Lux) I Emerise Asia 208.350 +1.290 +0.62%

0P0000JB4I Overview

 
On this page you'll find an in-depth profile of Natixis International Funds (lux) I - Natixis Asia Equity Fund R/d (usd). Learn about the key management, total assets, investment strategy and contact information of 0P0000JB4I among other information.
Category

Asia ex Japan Equity

Total Assets

46.65M

Expenses

1.70%

Inception Date

Feb 19, 2009

Contact Information

Address 43, avenue Pierre Mendès-France
Paris, 75013
France
Phone +33 1 78408000

Top Executives

Name Title Since Until
Rushil Khanna Portfolio Manager 2023 Now
Biography Rushil Khanna is the Head of Equity Investments, Ostrum Division, NIM Singapore and Portfolio Manager dedicated to Asia Pacific ex Japan markets based in Singapore. Rushil has over 20 years of public equity experience. He holds a MBA (Finance) from London Business School, MSc(International Economics) from the University of Wales and a BSc (Economics) Hons from the London School of Economics.
Vikas Shah Portfolio Manager 2018 Now
Biography Vikas Shah is an equity Portfolio Manager/Analyst based in Singapore dedicated to Asian Pacific ex Japan markets. He is an investment team member for Asia and Pacific Rim equities. He began his career in 2003. Vikas holds a Post Graduate Degree in Business Administration from the University of Mumbai. He is also a Chartered Accountant (CA) from Institute of Chartered Accountants of India (ICAI).
Joyce Toh Wei Lin Senior Portfolio Manager 2011 2019
Biography Responsibilities: Senior Portfolio Manager Ms. Toh covers Singapore, Malaysia, Korea, Thailand, and Vietnam. Experience: Prior to joining Absolute Asia AM, Ms. Toh handled equity sales for Indosuez WI Carr, specializing in Southeast Asian markets. Her previous experience included serving as an Operations Analyst with Chase Manhattan Bank, focusing on FX and derivatives, and as a Senior Officer in Global Treasury with OCBC Bank, where she oversaw the reporting and systems requirement of the Treasury Department and its overseas branches. Early in her career, she had assignments with Nomura Securities and J.M. Sassoon. Education/Credentials: Ms. Toh earned a Bachelor of Business (Financial Analysis) with Second Class Honours from Nanyang Technological University in Singapore. She is also a Chartered Financial Analyst charterholder.
François Theret Portfolio Manager 2013 2017
Biography Francois Theret: emerging Europe equity portfolio manager, began investment career in 1997; joined Natixis Asset Management in 2005; has managed the Natixis Emerging Europe Fund since 2007; graduate of the Ecole Supérieure de Commerce de Paris.
Bill Sung Director 2011 2013
Biography Bill Sung: He became Director and Chief Investment Officer for Absolute Asia Asset Management in early 1999. In this role, he drives the investment decisions and provides stewardship for the Asian equity team. Before moving to Absolute Asia Asset Management, he was with Morgan Grenfell Investment Management (MGIM) for 12 years, first as a fund manager in Hong Kong, then as Associate Director in Singapore, and finally as Director of MGIM HK, where he managed a portfolio of Asian institutional assets and mutual funds including the number one ranked China Fund for clients throughout the world. Prior to joining Morgan Grenfell, he worked for a number of companies including Banca Commerciale Italiana managing its securities portfolio in Hong Kong and as an account executive for Mansion House Securities and New Japan securities where he began his career.
Gary Lim Portfolio Manager 2005 2011
Biography Responsibilities: Mr. Lim manages the Absolute Asia AM Emerging Asia Fund and covers the Korean, Pakistan, Philippines and Taiwanese markets. He also covers China, Hong Kong and India. Experience: Mr. Lim has 15 years of experience in investments covering the Asia region. Prior to joining Absolute Asia Asset Management, he spent four and a half years at Nomura Asset Management where he managed largely institutional money, both from American and European pensions, including a US listed closed-end country fund - the Korea Equity Fund. The fund outperformed the KOSPI since he took over in 2001. Before Nomura Asset Management, he was with OCBC Asset Management for five and a half years. Starting off as an analyst covering Singapore and the Philippines, he progressed to become a fund manager with market responsibilities for North Asia. His previous experience includes working a year at Sun Hung Kai as an investment analyst covering Singaporean and Malaysian companies and two years with Neptune Orient Lines as a Corporate Planning Executive. Education/Credentials: Mr. Lim graduated from The University of Michigan, Ann Arbor with a Bachelor of Business Administration (Accounting and Finance). He is also a Chartered Financial Analyst charterholder.
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