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Emerging Economies Fund - A (JEEAX)

Emerging Economies Fund - A (JEEAX)
Overview Performance and Ratings Holdings and Details Management Dividends and Capital Gains Fees and Expenses Sales Resources
Anuj Arora
Anuj Arora| Executive Director Biography

Anuj Arora, is a portfolio manager within the Emerging Markets Equity Team based in London. An employee since 2006, he is responsible for managing the GEM Diversified strategy, as well as overseeing all aspects of research related to quantitative strategies within the Emerging Markets Equity Team, including asset allocation and risk management. Prior to joining the firm, Anuj was a quantitative analyst for Mesirow Financial and an analyst at Birkelbach Investment Securities. He holds an M.S. in finance from the Illinois Institute of Technology.

Education
  • M.S., Finance, Illinois Institute of Technology
Experience
  • Industry Experience, 11 Years
  • Firm Experience, 8 Years
  • Fund Experience, 6 Years
Other funds managed by Anuj Arora:
George Iwanicki Jr.
George Iwanicki| Managing Director Biography

George Iwanicki, Jr., is a portfolio manager and global macro strategist within the Global Emerging Markets Equity Team based in New York. An employee since 1992, he is responsible for all top-down EM strategy, including quantitative screening and Asset Allocation. Prior to that, he served several years as an economist, participating in a variety of strategy and asset allocation teams within Developed Market asset classes. Prior to joining the firm, he spent five years as an economist at Kidder, Peabody & Co., Inc. He holds a B.A. in mathematics and economics from the State University of New York and an A.B.D. (Master of Philosophy) in Economics specializing in macroeconomics, econometrics, and international trade and finance from Columbia University.

Education
  • B.A., the State University of New York
  • M.A., A.B.D., Economics, Columbia University
Experience
  • Industry Experience, 26 Years
  • Firm Experience, 22 Years
  • Fund Experience, 6 Years
Other funds managed by George Iwanicki:

International investing involves a greater degree of risk and increased volatility. Changes in currency exchange rates and differences in accounting and taxation policies outside the U.S. can raise or lower returns. Also, some overseas markets may not be as politically and economically stable as the United States and other nations. The Fund's investments in emerging markets could lead to more volatility in the value of the Fund's shares. As mentioned above, the normal risks of investing in foreign countries are heightened when investing in emerging markets. In addition, the small size of securities markets and the low trading volume may lead to a lack of liquidity, which leads to increased volatility. Also, emerging markets may not provide adequate legal protection for private or foreign investment or private property.