Stratton Street UCITS - Next Generation Global Bond Fund UI share class QDGBP

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Management
Name of CompanyEPIC Markets (UK) LLP
Phone-
Website -
Address200 Aldersgate Street,
 London   EC1A 4HD
 United Kingdom
Other Share Classes
Stratton Street UCITS - Next Generation Global Bond Fund UI share class QAUSD
Stratton Street UCITS - Next Generation Global Bond Fund UI share class QDUSD
DomicileLuxembourg
Legal StructureSICAV
UCITSYes
Inception Date19/12/2016
Fund Advisor(s)
EPIC Markets (UK) LLP
Fund ManagerFrederick Coldham
Manager Start Date19/12/2016
Fund ManagerAndrew Seaman
Manager Start Date19/12/2016
 
Biography
Andrew Seaman: BSc in Financial Economics and with over 13 years investment management experience. He awarded Wall Street Journal’s European fixed interest manager of the year in 1993, with the number one ranked fund. Andrew’s two other European bond funds also ranked in the top ten.Andrew was manager of the firm’s flagship currency funds, and also manager of the firm’s gilt funds, from 1995 to 1997. His career started in Guinness Mahon & Co. Limited's Portfolio Valuation and Securities Settlement Department (1987 - 1988), then Guinness Flight. He managed High Income Funds,managing Investec’s Global High Income Bond Fund, European High Income Bond Fund and US Dollar High Income Bond Fund at Investec Asset management. Andrew managed the Stellar High Yield hedge Fund from October 2001 to June 2004.
Fund ManagerMark Johns
Manager Start Date19/12/2016
 
Biography
Joined Hambros Bank in 1986 and trained with the Local Authority and corporate cash-reserve team, investing in the UK bond and money markets. In 1998 he moved to the international fixed income department. There he specialized in the fixed income and currency markets of the Dollar-bloc and Japan on behalf of the firm’s single and multi-currency clients, including Asian Central Banks. His responsibilities included macroeconomics, bond and credit research. More recently Mark formed part of the core team at Investec in setting up the credit process to allow for in depth research into both high and low grade non-government securities. This pro-active approach has enabled the investor base to participate in the shift away from government debt. This he has enhanced whilst working with Stratton Street Capital. Mark managed the Stellar High Yield hedge Fund from October 2001 to June 2004.
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