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Goldman Sachs Global Flexible Multi Asset - I Dis(hy) Jpy (hedged I) (0P00018BNT)

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9,018.000 +41.000    +0.46%
22/11 - Delayed Data. Currency in JPY
  • Morningstar Rating:
  • Total Assets: 351.95M
Type:  Fund
Market:  Luxembourg
Issuer:  NN Investment Partners Luxembourg SA
ISIN:  LU1350419989 
Asset Class:  Equity
NN (L) First Class Multi Asset I Dis(HY) JPY (he 9,018.000 +41.000 +0.46%

0P00018BNT Overview

 
On this page you'll find an in-depth profile of Goldman Sachs Global Flexible Multi Asset - I Dis(hy) Jpy (hedged I). Learn about the key management, total assets, investment strategy and contact information of 0P00018BNT among other information.
Category

Other Allocation

Total Assets

351.95M

Expenses

0.69%

Inception Date

Mar 29, 2016

Investment Strategy

The investment strategy applies a flexible approach designed to respond to rapidly changing market environments. The Investment Manager will mainly gain exposures to traditional asset classes (such as for example stocks, bonds and cash and/or cash equivalents) either directly or via financial derivatives instruments, mutual funds and ETFs, resulting in a diversified portfolio. The Sub-Fund aims to provide positive investment returns and to outperform the Index of the Company’s Prospectus over a full market cycle within a strictly defined risk budget and a focus on downside risk mitigation. The Sub-Fund is actively managed and the Index is not used for portfolio construction but for performance measurement purposes only. The Sub-Fund uses active management to respond to changing market conditions by using amongst others fundamental and behavioural analysis resulting in dynamic asset allocation over time.

Contact Information

Address Prinses Beatrixlaan 35
Den Haag, 2595 AK
Netherlands
Phone +31-703781781
Fax +31-703781308

Top Executives

Name Title Since Until
Leroy Tujeehut - 2022 Now
Niels de Visser - 2014 Now
Federico Forlini - 2020 2024
Marc Franklin Associate Portfolio Manager 2019 2024
Biography Marc Franklin joined Henderson Global Investors in 2011 as an Associate Fund Manager focusing on Asia Pacific ex Japan equities. His career began in 2004 with McKinsey & Company as a Business Analyst where he undertook strategic and operational advisory and analytical work for clients across a range of industries. In 2007, Marc commenced his fund management career with Nevsky Capital LLP, a leading global emerging markets long-short and long-only equities fund manager, as a Junior Fund Manager with a primary focus on the Emerging Asia ex-Japan region. Marc graduated with an honours degree from Oxford University in Philosophy, Politics and Economics. Marc also holds the Investment Management Certificate.
Jesse Borst - 2017 2024
Ewout van Schaick - 2014 2019
Mark Robertson Head 2014 2018
Biography Mark is responsible for managing our suite of outcome-focused multi-strategy funds as well as leading our multi-strategy investment team. Mark joined Aviva Investors in September 2018 and heads the Multi-Strategy team. After beginning his portfolio management career with Bankers Trust during 2000 in Australia he moved to Investec in Ireland before returning to Sydney to take up a role with UBS. In 2006 he moved to ING to manage their multi asset portfolios. Mark moved to The Netherlands with ING in 2011 and held the role of Head of Multi-Asset portfolios under the rebranded entity NN Investment Partners. He has experience managing Fixed Income, Global Equity, FX, Multi-Asset and Multi Strategy portfolios with a focus on the use of behavioural finance techniques and the benefit that a data-driven approach can bring to the investment process. Mark holds a Masters of Applied Finance from Macquarie University, Australia and a Bachelor of Science from the University of Waikato, New Zealand.
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