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The Fund’s objective is to maximize total returns by investing primarily in fixed-income securities of emerging market issuers. The portfolio manager employs a top-down fundamental approach to currency management, category and country allocation, curve positioning and duration management, and a bottom-up approach to security selection. The portfolio manager takes a diversified approach to maximize the total return of the Fund investing across in the entire emerging market fixed-income and currency opportunity set. The actively managed Fund is primarily a portfolio of local and foreign currencydenominated emerging market sovereign and corporate debt instruments issued by a broad range of countries. The portfolio manager looks for exposures that provide an attractive risk-to-return profile.
Name | Title | Since | Until |
---|---|---|---|
Tristan Sones | Vice President, Portfolio Manager | 2015 | Now |
Biography | Tristan Sones joined AGF in 1993 and is one of the principal members of the AGF Fixed Income team. With over two decades of experience managing a wide array of fixed-income portfolios, Tristan is a key contributor to the team’s analysis of the global macroeconomic landscape, with specific emphasis on global investment grade and non-investment grade debt, including hard and local currency emerging market debt. Tristan earned an Honours BA in Mathematics from the University of Waterloo. He is a CFA charterholder and a member of the Toronto CFA Society. | ||
Tom Nakamura | Portfolio Manager, key Member | 2010 | Now |
Biography | Tom Nakamura joined AGF in 1998 and is one of the principal members of the AGF Fixed Income team. With over 15 years of experience managing a wide array of fixed-income portfolios, Tom is a key contributor to the team’s analysis of the global macroeconomic landscape, with specific emphasis on corporate credit and currencies. Tom earned a Bachelor of Commerce from the University of Toronto. He is a CFA charterholder and a member of the Toronto CFA Society. | ||
Jean Charbonneau | Other Executives | 2010 | 2015 |
Biography | Jean Charbonneau is a veteran fixed-income manager with close to 30 years of experience managing international fixed-income mandates for retail and institutional clients. He is responsible for the overall management of AGF’s fixed-income team. Jean has been instrumental in defining a framework for bond investing that aims to exploit different areas of fixed income to achieve superior results. Jean graduated with a Bachelor of Commerce (Finance) degree from the University of Ottawa and an MBA from the University of Sherbrooke. |
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