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The option aims to invest the majority of its assets in cash and interest bearing securities. The option has the ability to minimise or hedge against interest rate, credit spread and equity risk. Derivatives may be used to synthetically create or replicate underlying positions; however, derivatives may not be used to leverage the portfolio. PM Capital attempts to hedge all foreign currency exposure back to the Australian dollar to substantially reduce the exposure of the option to the risks associated with movements in foreign exchange rates.
Name | Title | Since | Until |
---|---|---|---|
Jarod Dawson | - | 2004 | Now |
Biography | Jarod is responsible for managing the Fixed Income business. Prior to joining PM CAPITAL in September 2004, Jarod spent 6 years with UBS Global Asset Management, the last 4 years of which he held the title of Fixed Income Portfolio Manager, responsible for managing and growing their Credit Enhanced product suite.Before his time at UBS, Jarod spent 2 years at ING Funds Management, where he was responsible for managing relationships with key national firms & financial advisory groups. |
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