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The fund is an investment vehicle based on diversified style of conservative investing in corporate, sub-federal and federal bonds. The fund is suitable for investors looking for return higher than a bank deposit rate with maximum liquidity and diversified credit risk. Portfolio management is a combination of credit analysis to identify issuers with potential of credit quality improvement and timely reaction on market fluctuations. Recommended investment period is 1 year and more.
Name | Title | Since | Until |
---|---|---|---|
Marianna Tkachenko | Portfolio Manager | 2007 | Now |
Biography | Marianna is responsible for bond asset class and manages the mutual funds “Allianz ROSNO – Bonds” and “Allianz ROSNO – Government Bonds”. Marianna joined Allianz ROSNO Asset Management in May 2006 as credit analyst and in October 2006 was promoted to portfolio management. Prior to that she worked as credit analyst in Transcreditbank. Marianna graduated from the Academy of the RF Ministry of Foreign Affairs. She possesses 5.0 FCSM certificate. |
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