BNY Mellon Sustainable Global Dynamic Bond Fund EUR A Acc

Register to Unlock Ratings
Management
DomicileIreland
Legal StructureOpen Ended Investment Company
UCITSYes
Inception Date15/03/2019
Fund Advisor(s)
Newton Investment Management Ltd
Fund ManagerElla Hoxha
Manager Start Date15/12/2023
Career Start Year2003
Education
Oxford Brookes University, BA Hons
University of Westminster, Master
 
Biography
Ella Hoxha, CFA has extensive experience in fixed income strategies and portfolio management. Ella currently holds the position of Head of Fixed Income at Newton Investment Management Group since July 2023. Prior to that, they worked as a Senior Investment Manager at Pictet Asset Management from December 2018 to July 2023. In this role, they focused on global fixed income strategies, including total/absolute return, hedge fund, and relative strategies. Ella also has experience in marketing fixed income strategies and collaborating with skilled investment teams. Before joining Pictet Asset Management, they worked at Wellington Management as a Managing Director and Fixed Income Portfolio Manager from September 2011 to November 2018. Their responsibilities included managing funds focused on total return in macro rates and FX, with a specific focus on Asian and European markets. Prior to that, Ella worked at Invesco Ltd. as a Senior Portfolio Manager from May 2003 to August 2011. In this role, they managed global bonds funds with a strong track record in absolute return and benchmarked strategies in macro rates and FX, specializing in the Asian and European markets. Ella Hoxha, CFA holds an Executive MBA from the University of Cambridge, which they pursued from 2022 to 2024. Prior to that, they completed a Master of Science degree in International Finance from the University of Westminster. Ella also obtained a Bachelor of Arts degree in Business and Finance from Oxford Brookes University. Additionally, they hold several certifications, including a Chartered Financial Analyst (CFA) designation from the CFA Institute, a History of Art Diploma from City Lit, and a Sommelier Level III certification from the Wine & Spirit Education Trust. The specific dates of when they obtained these certifications are not provided.
Fund ManagerCarl Shepherd
Manager Start Date03/12/2021
Career Start Year2000
 
Biography
Carl is a portfolio manager in the fixed income team. He focuses predominantly on emerging market government bonds, and manages the emerging market bond portion of the Global Dynamic Bond and Global Bond portfolios. He also manages some gilt portfolios and has previous experience of managing short-dated government bond and money-market funds. In addition to his work as a portfolio manager, Carl is a member of the cash focus, weekly credit, bond/FX and emerging markets strategy groups. Prior to joining Newton in 2002, Carl worked as a performance specialist in the defined contributions pensions team at Legal & General. Carl has a BA (Hons), an MBA and the IMC certificate. Outside of work, Carl enjoys walking.
Fund ManagerTrevor Holder
Manager Start Date03/12/2021
Career Start Year2006
Education
UWE, B.A.
uwe, B.A.
 
Biography
Trevor is a portfolio manager in the fixed income team where he manages the emerging market government bond and currency portions of the global dynamic and global bond portfolios. He is also co-manager of the sustainable global dynamic and global bond strategies. Trevor joined Newton in 2006, and is a member of the bond/FX strategy and thematic investment groups.
Fund ManagerMartin Chambers
Manager Start Date03/12/2021
Career Start Year2006
Education
University of Durham, B.A.
 
Biography
Martin Chambers is a credit research and derivatives analyst, specialising in global investment grade and high-yield bonds across several sectors including financials and utilities. Martin is also part of the team responsible for the management of the Newton Sustainable Global Dynamic Bond strategy. Martin joined Newton in 2010, prior to which he worked at Deloitte, where he qualified as a chartered accountant (ACA) focusing on the insurance and investment management industries. Outside of work, Martin enjoys spending time with his young family and is a keen skier.
Fund ManagerScott Freedman
Manager Start Date01/12/2021
Career Start Year2002
Education
University of Birmingham, B.C.
 
Biography
Scott is a member of the fixed income team. His role combines both portfolio management and credit analyst responsibilities, specialising in global investment grade and high-yield bonds across several sectors including energy, industrials and healthcare. Scott is co-lead manager of the Newton Sustainable Sterling Bond strategy and forms part of the portfolio management team dedicated to all sustainable fixed-income strategies. Scott joined Newton in 2009 and is a chartered accountant.
Advertisement
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)
© Copyright 2024 Morningstar, Inc. All rights reserved.

Terms of Use        Privacy Policy        Modern Slavery Statement        Cookie Settings        Disclosures