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The fund aims to achieve capital growth for the investor's assets by diversifying the assets in accordance with the Finnish Act on Common Funds and the rules of the fund and by managing the assets actively. The fund is managed by a Global Diversified Equities investment process using stock selection and asset allocation across industries. Fund’s approach to securities selection is aimed at identifying companies and equities with a healthy balance sheet and a good dividend-paying ability. The fund invests globally primarily in the equities and equity-related securities, such as depositary receipts, listed on the major stock exchanges of the developed markets. The proportion of the US equities of the investments is usually high.
Name | Title | Since | Until |
---|---|---|---|
Lars Hemmingsen | - | 2012 | Now |
Biography | Mr. Hemmingsen began his career with Nordea Investment Management in 2000 in the Implementation team while studying his master in finance. After finishing his degree with studies in the U.S., Lars joined Nordea Investment Management's New York office in 2002 where he managed ADR portfolios for clients in the U.S. In 2005 Lars re-joined Nordea Investment Management's equities department in Copenhagen as portfolio manager, taking on new responsibilities within the All Equity team. Lars holds a MSc. in Finance & Accounting from Copenhagen Business School, Denmark and is a CFA Charter holder. |
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