1167 Active Funds ICAV - Global High Income Bond Fund Z1 GBP Acc

Legal StructureOpen Ended Investment Company
Inception Date23/12/2016
Fund Advisor(s)
1167 Capital LLP
Fund ManagerFelix Martin
Manager Start Date07/12/2016
Fund ManagerMichael Mabbutt
Manager Start Date07/12/2016
1985, University of Cape Town, B.S.
Michael joined Liontrust as Head of Global Credit in January 2013. Most recently, Michael worked at Thames River Capital in London. He joined in 1998 as a founding member to set up the Global Credit Division. In August that year, he launched one of the firm’s first hedge funds, the Thames River Hillside Apex Fund. In June 2000, he launched a Dublin based UCITS fund, the Thames River High Income Fund. By December 2007, when he voluntarily retired from the division, the combined assets of the two Thames River bond funds were $3 billion. After 2007, Michael continued to assist Thames River, becoming a consulting partner in the Global Credit Division. He also ran his own consulting firm offering consulting services to the financial services industry. Michael began his career with Norwich Union in Cape Town, South Africa, in 1986, where he was the Fixed Income Manager in charge of fixed income and cash portfolios. In 1992, he moved to Baring Asset Management in London as Head of Emerging Market Debt. In July 1993, he launched one of the world’s first global emerging market debt funds, the Baring High Yield Bond Fund. He also managed traditional global fixed income funds and portfolios and was a member of the Fixed Income Investment Committee in charge of investment policy for the $10 billion of fixed income assets under management. In 1997, he joined LGT Asset Management (now Invesco) as Head of Emerging Market Debt and ran one of the largest US emerging market debt mutual funds, the GT Global High Income Fund, as well as other portfolios. Michael graduated from the University of Cape Town in 1985 with a degree in Statistics. He also holds certificates in Finance, Investment and Actuarial Techniques from the Faculty of Actuaries in Edinburgh.
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(https://www.morningstar.com/research/signature)

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