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The Fund’s investment objective is to achieve a total return over the medium term, which should be considered as a period of 3-5 years, by investing predominantly in investment-grade euro-denominated corporate bonds. At least 80% of the Fund will be invested in European corporate bonds, of which at least 70% will be investment grade, which will generally be fixed-rate issues (bonds paying interest at an unchanging rate, rather than on an adjustable basis). Floating-rate notes, asset-backed securities, supranational bonds, agency bonds and securitisations are included in this segment of the Fund.
Name | Title | Since | Until |
---|---|---|---|
Rachid Semaoune | - | 2015 | Now |
Sajiv Vaid | Manager | 2012 | 2015 |
Biography | Sajiv is a fund manager on the fixed income team and has ten years experience working in global government and credit markets. He was appointed in 2000 and is responsible for managing corporate bond portfolios for institutional and retail clients.prior to joining RLAM he worked for Fuji Bank. Sajiv graduated from the University of Hull in 1991 in Economic & Social History and holds a MA in Modern International Studies from the University of Leeds. |
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