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The investment objective of the Company in relation to the subfund is to indirectly participate in the growth potential of the international commodity and futures markets and thus to achieve long-term capital growth. For this purpose, the subfund mainly invests in financial derivative instruments whose underlying assets represent several commodity indices, which may also be commodity sub-indices (“benchmark commodity indices”). It may also use certificates and structured products on benchmark commodity indices and/or on individual commodities.
Name | Title | Since | Until |
---|---|---|---|
Not Disclosed | - | 2019 | Now |
Fabien Weber | Portfolio Manager | 2006 | 2019 |
Biography | Portfolio Manager Education: University of Geneva: Masters in Finance and Economics, BSC in Economics, Chartered Financial Analyst (CFA). Fabien Weber joined Julius Baer, Zurich, in 1997 as a salestrader. In 2001 he became involved in the Asset and Liability Management Team where he was responsible for the Management of the Group's Investment Portfolio in bonds (totalling CHF 2 billion). He took up his current position at Julius Baer Asset Management in September 2002. Previous experience includes one year working as a salestrader on the Fixed Income Market; a period as an assistant in UBS Geneva's Trading Team. | ||
Christian Gerlach | - | 2011 | 2015 |
Reto Hintermann | - | 2006 | 2009 |
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