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The objective of this fund is to achieve above-market performance, while applying a defensive-to-balanced asset allocation strategy. The share class is accumulating. The fund gains exposure, directly or through other funds, to bonds and equities. The fund generally expects to place an emphasis on bonds. The fund only invests in underlying funds where similar ESG-related processes, criteria and characteristics are applied or can be found. The fund may gain exposure to any credit quality, sector and country, including emerging markets.
Name | Title | Since | Until |
---|---|---|---|
Karl Burck | - | 2019 | Now |
Jacob Egeskov Müller | - | 2019 | Now |
Biography | Title: Senior Portfolio Manager Backgroud: M.Sc. Working experience: 12 years | ||
Stefan Rocklind | Member | 2017 | 2020 |
Biography | Stefan Rocklind began his financial career in 2000 with Handelsbanken Asset Management, where he worked as an assistant portfolio manager in Global Fixed Income. From 2003, he worked with IT-development at Handelsbanken Asset Management. He then joined the Global Fixed Income Team at Nordea Investment Management in 2004. His main responsibility is managing selected global government bond portfolios and being the main driver for the group’s market and risk management models. Stefan holds a joint MSc. degree in Finance and Economics from the Stockholm School of Business. | ||
Tomas Ålander | - | 2017 | 2018 |
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