Ninety One Global Strategy Fund - Emerging Markets Local Currency Debt Fund I Acc USD

Legal StructureSICAV
Inception Date30/11/2007
Fund Advisor(s)
Ninety One UK Limited
Fund ManagerAntoon de Klerk
Manager Start Date30/09/2017
Antoon is an investment specialist and portfolio manager in the Global Emerging Market Debt team at Investec Asset Management. He is a portfolio manager for our Emerging Markets Local Currency Debt, Emerging Markets Local Currency Total Return Debt, and African Fixed Income strategies. He also has joint regional research responsibilities for Africa. He joined the Investec Group in 2005 as part of the Investec chartered accountant (TOPP) Programme. After spending time in accounts and investment banking where he was involved with merger and acquisition advisory work, he joined Investec Asset Management in 2006. Antoon holds a Master’s degree (cum laude) in Economics and an honours degree in Accounting from the University of Stellenbosch and is a Chartered Accountant (SA). Antoon studied in Germany as part of his post-graduate economic studies.
Fund ManagerWerner Gey van Pittius
Manager Start Date01/12/2012
Career Start Year2003
Werner is Co-Head of Emerging Market Sovereign & FX at Ninety One. He is jointly responsible with Peter Eerdmans for all global emerging market sovereign debt strategies. Werner is also responsible for EEMEA research in the team. He moved to London from Cape Town where he was a fixed income quantitative analyst and managed the firm’s asset and liability matching book. Prior to joining the firm, Werner played professional rugby in concurrence with academic programmes. He holds a Bachelor of Commerce degree in Insurance Science from the University of Pretoria, a Bachelor of Commerce (Hons) degree in Financial Economics from the University of Stellenbosch, and a Master of Science degree in Applied Statistics from Oxford University. In addition, Werner obtained the Society of Technical Analysts diploma and was awarded the Chartered Financial Analyst (CFA) designation from the CFA Institute in 2006.
In order to provide consistency across the report data provided by different Asset Managers, the calculated data points presented are generated using Morningstar’s proprietary calculation methodology which is set out in more detail at(

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