Gam Gam Star Factsheets
GAM Star Credit Opportunities strebt stabile, hohe Erträge mit Anlagen in Anleihen hochwertiger Unternehmen an; der Schwerpunkt liegt auf nachrangigen. GAM Star European Equity strebt attraktive risikoadjustierte Renditen auf Basis eines grossen, liquiden Universums Pan-Europäische Aktien an. Das Team unter. Fondspreis für GAM Star Fund plc - GAM Star Credit Opportunities (EUR) Class Institutional EUR Accumulation zusammen mit Morningstar Ratings und. GAM STAR FUND PLC - GAM STAR EUROPEAN EQUITY ORDINARY EUR ACCUMULATION FONDS: alle wichtigen Informationen zum GAM STAR FUND. GAM STAR FUND PLC - GAM STAR CHINA EQUITY CLASS ORDINARY FONDS Fonds (WKN A0MW0K / ISIN IE00B1W3WR42) – Aktuelle Kursdaten.
Fondspreis für GAM Star Fund plc - GAM Star Credit Opportunities (EUR) Class Institutional EUR Accumulation zusammen mit Morningstar Ratings und. GAM STAR (LUX) - EUROPEAN MOMENTUM FONDS Fonds (WKN A0LBV6 / ISIN LU) – Aktuelle Kursdaten, Nachrichten, Charts und. Bloomberg Global ID, BBGN0K9M7. Fondsname, GAM Star (Lux) - Global Alpha C - EUR A. Fondsanbieter, GAM Zürich, Schweiz Telefon: +41 58 30
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GAM : Half-year report. GAM : announces H1 results. GAM : sales chief Rainsford exits in management revamp. More news. Duration : Auto.
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Speak to a member of the team. Philosophy and Process. Investment Philosophy The team believes that attractive yield can be captured from corporate bond investing without incurring unnecessary default or interest rate risk.
Investment Process The bottom-up process uses in-depth fundamental credit analysis to identify conviction issuers with strong credit metrics favourable to bond investors.
Issuer selection Bottom-up research and in-depth fundamental credit analysis Identify issuers with strong credit metrics and favourable corporate governance Research process focused on downside risk.
Bond selection Assess and understand capital structure In-depth, analysis of prospectuses Assess instruments' attractiveness.
Risk control and portfolio monitoring Closely monitor changes in credit ratings, liquidity, prices and relative positions Strong focus on liquidity throughout the process.
Investment Team. The fund is managed by Atlanticomnium S. The firm has managed assets for GAM since With a focus on high-quality financial issuers, current valuations of our securities provide attractive yields while their credit fundamentals remain rock solid.
View biography. Fund Information. In order to seek higher yields we focus on the junior debt of national champions, which offer a better return than senior debt.
Key Risks. Interest Rate Risk A rise or fall in interest rates causes fluctuations in the value of fixed income securities, which may result in a decline or an increase in the value of such investments.
Liquidity Risk Some investments can be difficult to sell quickly which may affect the value of the Fund and, in extreme market conditions, its ability to meet redemption requests.
Concentration Risk Concentration in a limited number of securities and industry sectors may result in more volatility than investing in broadly diversified Funds.
Capital at risk All financial investments involve an element of risk. Contacts For your local contacts, please Select your Country , or visit our Contacts and Locations page.
Remember Me. Refresh Enter letters shown in image. Login Register Forgotten your password. Cancel OK. Self-certify No thanks. Login Register. Non-base currency share classes may or may not be hedged to the base currency of the Fund.
Changes in exchange rates will have an impact on the value of shares in the Fund which are not denominated in the base currency. Where hedging strategies are employed, they may not be fully effective.
Concentration in a limited number of securities and industry sectors may result in more volatility than investing in broadly diversified Funds.
Investments in equities directly or indirectly via derivatives may be subject to significant fluctuations in value. All financial investments involve an element of risk.
Therefore, the value of the investment and the income from it will vary and the initial investment amount cannot be guaranteed.
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Digital disruption A huge increase in global mobility, artificial intelligence, robotic machine-to-machine communications and cloud technology show that digitalisation is a huge theme which is here to stay.
Exceptional opportunities The third generation shift in internet-enabled technologies continues to generate seismic changes, while the market tends to underprice new technologies as each paradigm shift occurs more and more rapidly.
Deepening opportunity set Established companies are evolving their business models by utilising new technologies, thereby deepening the opportunity for future growth.
Alpha generation The team believes there is no better area in which to find differentiated stock price performance, in a low growth, highly correlated world.
This can be achieved by harnessing the unique long and short opportunities that disruption brings. Our Edge. Flexible The team seeks to build a well-diversified portfolio across themes, by combining thematic pairs, structural trades and stock specific holdings.
Risk mitigation Growth investing necessitates particular attention to managing risk, which the team has significant and proven experience in doing effectively.
Three levels of oversight and monitoring ensure risk management is embedded in all aspects of the portfolio.
Philosophy and Process. Investment Philosophy The team believes a flexible approach to investing is particularly well-suited to companies with a strong technology bias, given the rapidly evolving nature of the marketplace.
Company analysis Blend fundamental and technical analysis Regular intensive company visits. Risk management Focus on capital protection Three levels of risk oversight.
Investment Team. The growth in Internet usage is nothing short of extraordinary. We believe we are in a sustained cycle in technology adoption, with the internet at its heart, which will deliver sharply contrasting fortunes for the winners and losers.My Content. Risk control and portfolio monitoring Closely monitor changes in credit ratings, liquidity, prices and relative positions Strong focus on liquidity throughout the process. Investment Opinions 9 min read. Firefox Spiele to Invest. Derivatives may multiply the exposure to underlying assets and expose the Fund to the risk of substantial losses.