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Le portefeuille est investi pour au moins deux tiers de son actif net en valeurs mobilières à revenu fixe ou à taux variable, émises par des emprunteurs privés ou des pouvoirs publics ayant leur siège social ou le centre de leur activité économique en Norvège. Le portefeuille est composé dobligations libellées en NOK. Les placements comprennent des obligations dEtat ou émises par des institutions ou agences locales, des obligations hypothécaires, des obligations dentreprises bien notées (rating) et des obligations émises par des entités supranationales. En complément, le fonds peut utiliser des instruments dérivés afin de réduire les risques. Le fonds vise également à exploiter les fluctuations de marché ainsi que les écarts de rendement entre différents segments de risque de crédit.
Nom | Titre | Depuis | Jusqu’à |
---|---|---|---|
Lars Løtvedt | - | 2016 | Maintenant |
Biographie | Lars Løtvedt has specialised experience within the Norwegian Fixed Income market which he has worked in since 2008. Prior to joining Nordea in 2015, Lars held the position as Head of Fixed Income and as Bank/Credit Analyst with the Norwegian broker/dealer Norne Securities. Lars holds a M.Sc. in Business from the Norwegian School of Economics (NHH). Among his responsibilities in Nordea are product development, presentations and client relations. He also joins the portfolio managers in the team based management of the Norwegian Fixed Income funds and mandates. | ||
Harald Willersrud | Lead Portfolio Manager | 2016 | Maintenant |
Biographie | Harald Willersrud has been with Nordea since 1994. In the period 1994 to 2003, he held various positions in Nordea's Norwegian fund arm Nordea Fondene Norge, first as investment advisor and analyst followed by four years as portfolio manager. Since 1999, he has been responsible for Norwegian fixed income funds, in addition to covering credits and FX hedging for NIM Norway clients. Harald holds a MSc. in Business Administration from the Norwegian School of Management and is a Certified Fixed Income Analyst. | ||
Iren Jensen | - | 2010 | 2015 |
Biographie | Iren Jensen joined Nordea in 2003. Since then, she has been responsible for the credit analysis of the team, managing bond portfolios / funds, as well as being involved with FX hedging. Prior to working for Nordea, she had various positions with DnB NOR Asset Management, within international bond management, tactical asset allocation and institutional sales. Iren holds a MSc. in Business Administration from the Norwegian School of Economics and Business Administration and also holds an AFA (CFA). | ||
Peder Gervin Pedersen | - | 2000 | 2010 |
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