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Hemant Baijal

Co-Head of Global Debt Team

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Tenure

  • 30 YRS

    Industry

  • 5 YRS

    Oppenheimer

  • B.A. from University of Delhi
  • M.B.A. from Columbia University

Hemant Baijal is Co-Head of the Global Debt Team and a portfolio manager of Oppenheimer International Bond Fund, Oppenheimer Global Strategic Income Fund and Oppenheimer Emerging Markets Local Debt Fund. Prior to joining the Firm, he co-founded Six Seasons Global Asset Management, where he was a Partner and Portfolio Manager with a focus on fixed income macro strategies. Prior to that, he was a Partner and Portfolio Manager at Aravali Partners.

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  • B.A. from University of Delhi
  • M.B.A. from Columbia University
Global Debt Team
Chris Kelly, CFA

Co-Head of Global Debt Team

Wim Vandenhoeck

Portfolio Manager

Konstantin Andreev, Ph.D.

Senior Analyst

Claudia Castro, Ph.D.

Senior Analyst

Meral Karasulu, Ph.D.

Senior Analyst

Turgut Kisinbay, Ph.D.

Senior Analyst

Arin Kornchankul, CFA

Senior Research Analyst

Marcelo Menusso

Senior Analyst

Ira Jersey

Senior Client Portfolio Manager

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Managed Funds

Average Annual Total Returns (%) as of 6/30/16
Fund Name Managed Since YTD as of
  • 9/23/16
  • A,B
1 Yr 3 Yr 5 Yr 10 Yr Life Gross Expense Ratio (%)
 
International Bond Fund A - OIBAX (NAV)
1/28/2013 10.94 4.58 1.74 0.94 5.10 7.56
6/15/95
1.02
 
International Bond Fund A - OIBAX (with Sales Charge)
1/28/2013 10.94 -0.39 0.10 -0.04 4.59 7.31
6/15/95
1.02
 
Emerging Markets Local Debt Fund A - OEMAX (NAV)
3/31/2015 17.44 5.48 -2.43 -1.19 1.13
6/30/10
1.54
 
Emerging Markets Local Debt Fund A - OEMAX (with Sales Charge)
3/31/2015 17.44 0.47 -4.00 -2.15 0.32
6/30/10
1.54
 
Global Strategic Income Fund A - OPSIX (NAV) 3/31/2015 7.15 0.46 2.20 2.64 5.21 7.12
10/16/89
1.04
 
Global Strategic Income Fund A - OPSIX (with Sales Charge) 3/31/2015 7.15 -4.31 0.56 1.64 4.69 6.93
10/16/89
1.04
 
Global Strategic Income Fund/VA (NAV) 3/31/2015 6.96 0.66 2.38 2.74 5.19 5.89
5/3/93
0.77
 
Global Strategic Income Fund/VA (with Sales Charge) 3/31/2015 6.96 0.66 2.38 2.74 5.19 5.89
5/3/93
0.77

Insights

Markets & Economy

Dear FOMC: Please Drop the Dots

Hemant Baijal

Co-Head of Global Debt Team

Turgut Kisinbay

Senior Analyst

The Federal Reserve’s "dot plots" are obsolete as indicators of interest rate movements.

Markets & Economy

Gaining Perspective on Brexit

Krishna Memani

Chief Investment Officer, Portfolio Manager

George R. Evans

Chief Investment Officer, Equities, Portfolio Manager

Hemant Baijal

Co-Head of Global Debt Team

Turgut Kisinbay

Senior Analyst

OppenheimerFunds' senior investment managers explain the vote’s impact on global financial markets.

Markets & Economy

The Letter from China: No Surprise Here!

Hemant Baijal

Co-Head of Global Debt Team

Meral Karasulu

Senior Analyst

China's annual Government Work Report is encouraging and carries investment implications.

The performance data quoted represents past performance, which does not guarantee future results. The investment return and principal value of an investment in the Fund will fluctuate so that an investor's shares, when redeemed, may be worth more or less than the original cost. Current performance and expense ratios may be lower or higher than the data quoted. All fund returns include change in share price, reinvested distributions and the sales charges as listed below, unless "without sales charge" is indicated. Returns do not consider capital gains or income taxes on an individual's investment. Class A Share returns include a maximum sales charge of 5.75% (equity), 4.75% (most fixed income), 3.5% (Senior Floating Rate Fund, Senior Floating Rate Plus), 2.25% ("limited term" fixed income funds) and 0% (Money Market Funds). Class B Share returns include contingent deferred sales charge as follows:  For years 1 - 6 respectively, charges are 5%, 4%, 3%, 3%, 2%, 1% except for "limited term" fixed income funds (4%, 3%, 2%, 2%, 1%, 0%) and Senior Floating Rate (3%, 2% 1.5%, 1.5%, 1%, 0%). Class C Share returns include a 1% contingent deferred sales charge and are subject to an annual asset-based sales charge of 0.75%. Class R  are subject to an annual asset-based sales charge of 0.25%. Annual asset-based sales charges are applied as follows: 0.75% on Class B/C; and 0.25%  for Class R shares. Prior to 7/1/14, Class R shares were named Class N shares and were subject to a 1% CDSC (18 months). Class Y shares are not subject to a sales charge. 

  1. 1. The Fund's investment objective changed from "seeks high current income to "seeks total return" on 6/4/12.
  2. 2. Effective 4/30/13, The Fund's investment objective changed from "seeks high current income" to "seeks total return."
  3. A. Daily net asset value and dollar change of the fund is as of the previous business day's closing. Fund net asset values are updated at approximately 7 p.m. ET daily.
  4. B. "Year to Date" returns are cumulative, not annualized, and do not reflect sales charges.  These returns would be lower if sales charges were taken into consideration.  Short-term returns may not be indicative of longer-term performance, which should also be considered when making investment decisions.
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