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145.37M
1.27%
Nov 09, 2005
The fund aims deliver a stable risk adjusted excess return while minimizing downside risk. Benchmark is 50% JPM EMBIGD / 50% JPM CEMBI BD. The fund aims to be neutral interest rate duration vs benchmark. The fund seeks to have a better ESG profile than the benchmark. The aim is to hedge most of the FX risk to DKK.
Name | Title | Since | Until |
---|---|---|---|
Chresten Hagelund | - | 2016 | Now |
Søren Bertelsen | Head | 2016 | Now |
Biography | Søren Bertelsen is a senior portfolio manager at BankInvest, responsible for emerging market corporate bonds in emerging market fixed income funds. He was based in Singapore from 2007 to 2011 and focus on the Asian credits in the portfolio. Before joining BankInvest in 2000, he was responsible for investment in Latin American equities at Danske Capital Management and Danske Invest. Bertelsen has a master's degree in economics and business administration from Copenhagen Business School and is a CFA charterholder. | ||
Nicolas Tousgaard | - | 2022 | 2023 |
Troels Halck Pedersen | Chief Portfolio Manager | 2006 | 2022 |
Biography | Troels Halck Pedersen, Cheif Portfolio Manager MSc Economics, is responsible for macroeconomic analysis including analysis of debt dynamics in emerging markets and analysis of international bonds and currencies. Subsequently he worked with Danish banks in the fields of macro economy and bonds for more than 10 years. Before joining BankInvest in 1997 Troels Halck Pedersen was head of finance at The Danish National Research Foundation. | ||
Lars Krabbe | Portfolio Manager | 2016 | 2020 |
Søren Bertelsen | Head | 2005 | 2013 |
Biography | Søren Bertelsen is a senior portfolio manager at BankInvest, responsible for emerging market corporate bonds in emerging market fixed income funds. He was based in Singapore from 2007 to 2011 and focus on the Asian credits in the portfolio. Before joining BankInvest in 2000, he was responsible for investment in Latin American equities at Danske Capital Management and Danske Invest. Bertelsen has a master's degree in economics and business administration from Copenhagen Business School and is a CFA charterholder. | ||
Troels Halck Pedersen | Chief Portfolio Manager | 2005 | 2013 |
Biography | Troels Halck Pedersen, Cheif Portfolio Manager MSc Economics, is responsible for macroeconomic analysis including analysis of debt dynamics in emerging markets and analysis of international bonds and currencies. Subsequently he worked with Danish banks in the fields of macro economy and bonds for more than 10 years. Before joining BankInvest in 1997 Troels Halck Pedersen was head of finance at The Danish National Research Foundation. | ||
Andrea Panzieri | - | 2005 | 2007 |
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