最新ニュース
55%引きでご購読 0
🏃 ブラックフライデーセールを早く利用して、最大55%引きでInvestingProを今すぐ!
特別セールを請求する
閉じる

Loomis Sayles Securitized Asset Fund (LSSAX)

アラートを作成する
新しい!
アラートを作成する
ウェブサイト
  • アラートの通知として
  • この機能を使うには、ご自身のアカウントにログインしている必要があります
モバイルアプリ
  • この機能を使うには、ご自身のアカウントにログインしている必要があります
  • 同じユーザープロファイルでログインしている必要があります

条件

頻度

一度
%

頻度

頻度

デリバリー方法

ステータス

ポートフォリオに追加/削除する ポートフォリオに加える
ウォッチリストに加える。
ポジションを加える

ポジションが以下に追加されました。

お持ちのポートフォリオに名前をつけてください
 
7.67 -0.00    0.00%
13/11 - 表示されている情報は遅れています。. USD 通貨
タイプ:  投資信託
市場:  アメリカ
発行者:  Loomis Sayles Funds
資産クラス:  債券
  • モーニングスターの評価:
  • 総資産: 1.5B
Loomis Sayles Securitized Asset 7.67 -0.00 0.00%

LSSAX 概要

 
このページではLoomis Sayles Securitized Asset Fundの基本的な企業情報をご覧になれます。 LSSAX の主要な経営陣、総資産、投資戦略、連絡先情報など。
カテゴリー

Intermediate-Term Bond

総資産

1.5B

費用

0%

開始日

38778

連絡先

住所 P.O. Box 219594
Kansas City,MO 64121-9594
United States
電話 +1 8006333330

役員トップ

名前 タイトル 以来 まで
Barath Sankaran Manager 2021 now
伝記 Barath Sankaran is a member of the mortgage and structured finance team at Loomis, Sayles & Company. He is a co-portfolio manager for the dedicated agency MBS strategies and a co-agency MBS portfolio manager for the Loomis Sayles Core Plus Bond Fund. Additionally, Barath guides other product teams at the firm in the optimal sector allocation and portfolio implementation of agency MBS. Barath joined Loomis Sayles in 2009 as an analyst in the mortgage and structured finance group, where he initially focused on non-agency RMBS and gradually expanded his role to agency MBS. Since 2011, Barath has been dedicated to the agency MBS effort with the goal of developing best-in-class investment capabilities. He was instrumental in creating the firm's proprietary prepayment model and has led the creation of a fundamentally-driven relative value approach to investing in specified MBS pools. In 2018, Barath was promoted to portfolio manager. Prior to Loomis Sayles, he held multiple roles at Johnson & Johnson, where he was a member of the Information Management Leadership Development Program, a Six Sigma dashboard architect and later a business relationship lead for the consumer products division. Barath earned a BS from Carnegie Mellon University and an MBA from the Sloan School of Management at the Massachusetts Institute of Technology. He is fluent in German.
Stephen LaPlante Portfolio Manager 2021 now
伝記 Steve LaPlante is a portfolio manager and securitized strategist on the mortgage and structured finance team at Loomis, Sayles & Company. He is a securitized strategist for the Full Discretion team, working directly with portfolio managers to structure the allocation to the sector. He is also a co-portfolio manager and senior analyst on the mortgage and structured finance team, responsible for co-managing the investment grade securitized credit and opportunistic securitized credit strategies. Steve joined Loomis Sayles in 2017 as a mortgage and structured finance analyst and has 14 years of investment industry experience. Previously, he was a senior analyst at Manulife, responsible for the mortgage credit sector including nonagency RMBS and agency risk transfer securities. Prior to this, Steve was a senior analyst at Income Research and Management, serving as the primary analyst in commercial mortgage credit, including CMBS and agency CMBS securities. Before this, he was at White Mountains Advisors as a portfolio analyst, maintaining portfolio level analytics, evaluating pricing models, and monitoring exposures across the firm’s portfolios, which included ABS, CMBS, RMBS holdings as well as Agency, Sovereign and Corporate securities. Steve earned a BS from Union College and an MBA from Carnegie Mellon University.
Jennifer M. Thomas Portfolio Manager 2021 now
伝記 Jennifer Thomas is a co-portfolio manager on the mortgage and structured finance team at Loomis, Sayles & Company, where she co-manages the investment grade securitized credit and opportunistic securitized credit strategies. She is also a senior analyst, specializing in ABS with a focus on consumer ABS. Jennifer is responsible for generating relative value trade ideas to help enhance portfolios and achieve investment objectives, and collaborating on structured product-related initiatives with client services and marketing. In addition, she has also supported the credit and research efforts in CMBS. Jennifer joined Loomis Sayles in 2007 and has 22 years of investment industry experience.
Ian Anderson Vice President 2013 now
伝記 an Anderson is the agency MBS strategist for the mortgage and structured finance team at Loomis, Sayles & Company where he is responsible for developing agency MBS research and relative value recommendations across all fixed income products. He is the lead portfolio manager for the dedicated agency MBS strategies and a co-agency MBS portfolio manager for the Loomis Sayles Core Plus Bond Fund. Ian joined Loomis Sayles in 2011 from Fannie Mae, where he held several positions over his 11 year tenure. Most recently, he was a senior portfolio manager for Fannie Mae’s investment portfolio, developing and implementing relative value alpha strategies for the agency MBS, CMO, CMBS, reverser mortgage and hybrid sub-portfolios. Prior to this, Ian was responsible for agency CMO structured book, conducting hedging of assets and assisting researchers to develop accurate prepayment and term structure models. He began as a financial analyst and later became a senior securities analyst and assisted traders with inquiries into various model risk analytics and forecasts in various asset classes, helped design and implement a short horizon portfolio tracking system, compared internal model prepayment speeds and risk analytics, and designed and produced return attribution reports for the portfolio.
Alessandro Pagani Vice President 2010 now
伝記 Alessandro Pagani is a portfolio manager and head of the mortgage and structured finance team at Loomis, Sayles & Company. He leads the group in developing investment strategies for mortgage pass-through, asset-backed, residential and commercial mortgage-backed securities across all fixed income products. Alessandro also co-manages the firm’s securitized investment strategies. With 26 years of investment industry experience, Alessandro joined Loomis Sayles in 2008 from Cambridge Place Investment Management, a specialty manager of credit sensitive structured securities, where he was co-head of global research and credit. He was also a director of asset-backed securities research at Banc One Capital Markets. Alessandro earned a doctoral degree in economics and commerce from the University of Brescia in Italy
Clifton V. Rowe Vice President 2006 2021
伝記 Cliff Rowe is a portfolio manager for the relative return team and mortgage and structured finance team at Loomis, Sayles & Company. He co-manages the Loomis Sayles Limited Term Government & Agency and Intermediate Duration Bond funds, in addition to the Natixis Loomis Sayles Short Duration Income ETF. Cliff also co-manages the Loomis Sayles Core, Short Duration and Intermediate Duration strategies. He has 31 years of investment industry experience that began when he joined Loomis Sayles in 1992. During his tenure, Cliff has held the successive positions of portfolio assistant, research analyst, mortgage trader and portfolio manager. He earned a BBA from James Madison University and an MBA from the University of Chicago.
Fan Hu Vice President 2006 2010
伝記 Hu began her investment career in 1997 and joined Loomis Sayles in 2006. Prior to joining Loomis Sayles, Hu was vice president and mortgage-backed securities strategist at Columbia Management Group (or its predecessor) from 1998 to 2006. Hu holds the Charted Financial Analyst designation.
Craig Smith Vice President 2006 2006
伝記 Craig Smith, CFA Fixed Income Portfolio Manager Work Experience: Year joined Loomis Sayles: 1997 Year began investment career: 1994 Work History: Donaldson, Lufkin & Jenrette 1994 - 1997 Investment Consultant Education: Cornell University 1989 BS Cornell University 1990 MBA
コメントガイドライン

他のユーザーと交流したり、あなたの見通しを他の人と共有したり、筆者に質問するにはコメントを使うことをお勧めします。

我々みんなが高いレベルの議論を維持するために以下の事を心に留めてください。

  • 会話を豊かにしようとする。
  • 集中し、主題から外れない。論じられたトピックに関することだけを書きこむ。
  • 敬意を示す。否定的な意見も、前向きに相手を思いやった表現に言い換える。
  • 句読点や大文字小文字などは、標準のライティングスタイルを使う。
  • 注意:スパムやコメント内の宣伝のメッセージやリンクは省かれます。
  • 著者や他のユーザーを冒涜、中傷する個人的攻撃は禁じます。
  • 日本語でのコメントのみ許されています。

スパムや乱用の加害者は、サイトから削除され、Investing.comの裁量により今後の登録が禁じます。

LSSAX 口コミ

Loomis Sayles Securitized Asset Fundについての考えを書いてください
 
本当にこのチャートを削除しますか
 
投稿する
:にも投稿する
 
添付のチャートを新しいチャートと置き換えますか?
1000
良くないユーザーレポートのために、現在コメントすることができません。このステータスは当社モデレーターが再確認します。
1分待ってから再度コメントしてください。
コメントをありがとうございます。担当者が承認するまでコメントは掲示されません。掲示されるまで少しだけお時間がかかります。
 
本当にこのチャートを削除しますか
 
投稿する
 
添付のチャートを新しいチャートと置き換えますか?
1000
良くないユーザーレポートのために、現在コメントすることができません。このステータスは当社モデレーターが再確認します。
1分待ってから再度コメントしてください。
コメントにチャートを挿入する
ブロックを確認

本当に%USER_NAME%をブロックしたいですか。

ブロックすると、あなたと%USER_NAME%はお互いのInvesting.comへの投稿を見ることができなくなります。

%USER_NAME%は無事ブロックリストに追加されました

この人のブロックを解除したばかりなので、再度ブロックするには48時間待つ必要があります。

このコメントを報告してください

このコメントについて下記のように感じます

コメントに印がつきました

ありがとうございます!

報告は、確認のため管理担当に送られました
Appleアカウントを使用シヨウ
Googleアカウントを使用シヨウ
または
メールで登録する