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The sub-fund will seek to achieve a return similar to or better than that of the MSCI World Index but with lower volatility over a full market cycle. This is to be achieved by investing primarily in low-risk common stocks of global issuers listed or traded on equity markets in Regulated Markets worldwide. Individual stocks shall be chosen to achieve the strategy’s risk-reduction objective and will include both large and small-cap issuers. Also permitted are investments in rights issues by a company which allow holders to subscribe for additional securities issued by that company and preferred stocks, if issued by companies whose common stocks are listed or traded on Regulated Markets, in depository receipts, REITS and in the units or shares of open-ended collective investment schemes within the meaning of Regulation 68(i)(e) of the Regulations investing in the foregoing, including but not limited to exchange-traded funds.
Name | Title | Since | Until |
---|---|---|---|
Dan M. Le | Vice President | 2015 | 2023 |
Biography | Dan joined Acadian in 2011 and is a Portfolio Manager on Acadian’s Managed Volatility Team. She previously worked within the Portfolio Construction and Trading Group, where she was responsible for rebalancing and trading portfolios. Dan also specialized in portfolio construction and simulation-based research, primarily for Managed Volatility strategies. Prior to joining Acadian, she worked for Arrowstreet Capital as a trade compliance associate. Dan earned a B.A. in psychology from Brown University. She is a CFA charterholder and a member of CFA Society Boston. | ||
Mark J. Birmingham | Senior Vice President | 2013 | 2023 |
Biography | Mark Birmingham joined Acadian in 2013 and is the Lead Portfolio Manager for Acadian's Managed Volatility strategies. Before joining Acadian, he was a vice president and quantitative analyst within the quantitative investment group at Wellington Management Co. Mark also served as director, U.S. equity sales and trading at Nomura Securities International, Inc. He earned an A.B. in computer science from Princeton University. Mark is a CFA charterholder and a member of CFA Society Boston. | ||
Ryan D. Taliaferro | Senior Vice President, Director, Investment Strategies | 2013 | 2023 |
Biography | Ryan joined Acadian in 2011 and currently serves as director of investment strategies. |
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