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Aegon Sustainable Equity Fund Gbp B Acc (0P00000R02)

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2.87 -0.02    -0.53%
13/11 - Closed. Currency in GBP
  • Morningstar Rating:
  • Total Assets: 167.14M
Type:  Fund
Market:  United Kingdom
Issuer:  Kames Capital PLC
ISIN:  GB0007274516 
Asset Class:  Equity
Kames Global Equity B Acc 2.87 -0.02 -0.53%

0P00000R02 Overview

 
On this page you'll find an in-depth profile of Aegon Sustainable Equity Fund Gbp B Acc. Learn about the key management, total assets, investment strategy and contact information of 0P00000R02 among other information.
Category

Global Flex-Cap Equity

Total Assets

167.14M

Expenses

Inception Date

Oct 30, 1987

Investment Strategy

The investment objective is to provide a combination of income and capital growth over any 7 year period. The Fund will be invested in a concentrated portfolio (typically 35-45 stocks) consisting of equities of companies which may be listed, quoted or traded anywhere in the world and denominated in any currency which meet the Fund’s predefined sustainability criteria. The Fund is actively managed and can invest in companies of any market capitalization (small, medium or large) and in any industry sector although will tend to have a bias towards small-medium companies. At any one time, the scope of investment may be themed by geography, industry, size or style to take advantage of opportunities identified by the ACD.

Contact Information

Address 3 Lochside Crescent
Edinburgh,Edinburgh EH12 9SA
United Kingdom
Phone +353 1 622 4493

Top Executives

Name Title Since Until
Andrei Kiselev Investment Manager 2021 Now
Biography Andrei is an investment manager in the US Equities Team. Andrei moved to the UK in 1998 to complete his secondary education and graduated MA in Economics from the University of Edinburgh in 2009, joining Baillie Gifford the same year. He spent a year in the US Equities Team during his initial analyst training and went on to spend several years in global equities departments before re-joining the US Equities Team.
Malcolm McPartlin - 2021 Now
Biography Malcolm McPartlin is an investment manager in the UK Equities team, with responsibility for co-managing the Kames UK Equity Absolute Return Fund and Kames Equity Market Neutral Funds. He has analysis responsibilities for the mining, media sectors and UK Equity Strategy. Malcolm joined us in 2003 from Scottish Equitable where he was an assistant business analyst. He studied Financial Services at Napier University.
Euan Weir - 2014 2021
Michael Nicol - 2014 2021
Craig Bonthron Portfolio Manager 2015 2020
Biography Craig Bonthron is an investment manager in the Equities team, responsible for actively co-managing high conviction global equities portfolios. He focuses on analysing disruptive and sustainable investment trends within the technology, healthcare, industrial and consumer sectors in order to identify high conviction stock specific investment ideas. He joined us in 2014 from SWIP, where he was an investment director in global equities. Prior to SWIP, he was a portfolio manager at Kleinwort Benson Investors. Craig has a 1st Class honours degree in Building Surveying and an MSc with Distinction in Business Information Technology Systems from Strathclyde Business School.
Neil Goddin Head 2014 2020
Biography Neil Goddin is an investment manager, with responsibility for co-managing both long only and market neutral strategies within the Global Equities team. He also leads the team responsible for building and maintaining the Kames equity investment screen, which provides inputs into the investment process across our equity strategies. Neil joined us in 2012 from LV Asset Management where he was Head of Investment Risk. Prior to that, he worked for WestLB Mellon Asset Management and Deutsche Asset Management in various risk-management roles.
Pauline McPherson investment Director 2012 2015
Biography As investment director for Global Equities, Pauline is responsible for managing global sector and stock picking portfolios. After graduating in 1987 from Modern Languages from Oxford University she started with Scottish Equitable as a European Equity Analyst responsible for the French and Spanish markets. Pauline became a member of the Managed Funds team in 1993 and in 1997 became Senior Portfolio Manager for Latin America. In 2000 she joined Standard Life Investments in her current role.
Piers Hilliers Head 2012 2014
Biography Piers joined WestLB Mellon Asset Management in 2005 as head of European Equities. 2004: Head of European Institutional Equities by Deutsche Asset Management. 1997: European Equity Fund Director by Schroder Investment Management. 1992: Chartered accountant by Deloitte & Touche. Studies: Bristol University: BSc in Politics. Oxford University: MPhil in Management Science. Chartered accountant, Investment Management (IMC), Investment Management (AIIMR) -Overall National Prize Winner-.
Innes McKeand - 2009 2012
Andrew Fleming CIO, global Head 2005 2009
Biography Andrew joined AEGON as chief investment officer in February 2005 and has over 20 years' experience of investment management. In November 2005, he was appointed Managing Director of AEGON Asset Management. Prior to joining, Andrew was CIO and global head of portfolio management at ABN Amro for six and a half years. At Gartmore from 1984 to 1998, he was a main board director and deputy CIO and head of equities. He also ran Gartmore's Tokyo office (1987-1993) and a US joint venture with Nations Bank.
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