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The Sub-Fund objective is to outperform its reference indicator over a recommended minimum investment period of 3 years. The search for performance involves flexible, discretionary management on equity, fixed income, credit, as well as to a lesser extent foreign exchange markets and the manager's expectations of how economic, corporate, and market conditions will evolve. The Sub-Fund may adopt a defensive strategy if the markets are expected to perform negatively. The Sub-Fund seeks to invest sustainably for long-term growth and implements a socially responsible investment approach. This Sub-Fund is an actively managed UCITS. The investment manager has discretion over the composition of its portfolio, subject to the stated investment objectives and policy.
Name | Title | Since | Until |
---|---|---|---|
Jacques Hirsch | Research Director | 2023 | Now |
Biography | Prior to joining Ruffer in 2011, he spent over ten years in fund management and macro research at firms including Goldman Sachs, GLG Partners and Fulcrum Asset Management. He graduated from École Centrale Paris in 1999 and holds an MSc in Mathematics from Oxford University. He is co–manager of Ruffer Total Return International. | ||
Mark Denham | - | 2017 | Now |
Biography | "* Formation * 1987: Licence, Physique et Physique Théorique, Université de Cambridge, UK * 1988: Master, Mathématiques Supérieures, Université de Cambridge, UK * Expérience professionnelle * 1990 – 1999: Gérant de portefeuille, actions européennes, précédemment Actuaire Junior (National Mutual Life, Hertfordshire, UK) * 1999-2003: Responsable équipe, actions européennes (Insight Investment, London) * 2003-2016: Responsable équipe actions européennes (Aviva Investors, Londres, UK) * Depuis Juin 2016: Responsable équipe actions européennes, gérant de portefeuille (Carmignac Gestion Luxembourg, Londres, UK)" | ||
Marie-Anne Allier | Head | 2023 | 2023 |
Biography | Marie-Anne Allier began her career in 1987 when she joined Robert Lefebvre as a Fixed Income Fund Manager. She moved in 1989 to Sogeposte as a Fixed Income Fund Manager. In 1994, she became the Head of Equity and Bond Management of Banque Transatlantique. In 1998, she joined Société Générale Asset Management as the Head of Credit Management. Marie-Anne is post-graduate in Banking and Finance from the University of Paris I Sorbonne. | ||
Keith Ney | co-Portfolio Manager | 2017 | 2023 |
Biography | 8 years of Long/Short experience, 9 years of investment experience Oct 2006 to present: Carmignac Gestion, Co-Portfolio Manager Sep 2005-Oct 2006: Carmignac Gestion, Analyst, Global Equities 2005: Fincapital, Paris, Long/Short Hedge Fund Analyst, European Equities 1999-2005: Lawndale Capital Management, San Francisco, Long/Short Hedge Fund Analyst, American Equities BS in Business Administration, University of California, Berkeley |
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