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Skagen Vekst C (0P000153HI)

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5,749.562 +39.800    +0.70%
01/11 - Closed. Currency in NOK
Type:  Fund
Market:  Norway
Issuer:  SKAGEN AS
ISIN:  NO0010723299 
Asset Class:  Equity
  • Morningstar Rating:
  • Total Assets: 12.4B
SKAGEN Vekst C 5,749.562 +39.800 +0.70%

Skagen Vekst C Overview

 
On this page you'll find an in-depth profile of Skagen Vekst C. Learn about the key management, total assets, investment strategy and contact information of 0P000153HI among other information.
Category

Global Large-Cap Value Equity

Total Assets

12.4B

Expenses

0.60%

Inception Date

Jan 01, 2015

Investment Strategy

The fund's objective is to provide unit holders with the best possible risk adjusted return, through an actively managed portfolio of Nordic and global equities. SKAGEN Vekst is an actively managed fund with a global investment mandate. The fund should invest at least 50 percent of its assets in companies listed or traded on the Nordic market or companies domiciled in the Nordic countries. The fund's strategy is to find low-priced, high-quality companies that are undervalued, under-researched and unpopular. The combination of a Nordic and a global mandate allows the fund to take part in the creation of wealth in sectors that are not available on the Nordic market.

Contact Information

Address Postboks 160
London, W1S 4HA
United Kingdom
Phone +47 800 SKAGEN

Top Executives

Name Title Since Until
Sondre Solvoll Bakketun - 2022 Now
Søren Milo Christensen Assistant Portfolio Manager 2018 Now
Alexander Stensrud Junior Portfolio Manager 2014 2022
Øyvind Fjell - 2017 2018
Geir Tjetland - 2012 2017
Ole Søeberg Long experience within capital markets 2011 2017
Erik Bergöö - 2014 2016
Beate Bredesen financial analyst 2004 2012
Ross Porter Portfolio Manager 2010 2011
Biography Ross has worked for SKAGEN Funds since September 2000. He is part of the management team of SKAGEN Kon-Tiki. Ross received his Masters in Business from the Norwegian Business School in Bergen and has professional experience from the Asset Management department of the Norwegian Central Bank and as portfolio analyst of SKAGEN Avkastning.
Kristian Falnes Portfolio Manager 1997 2010
Biography Kristian is the portfolio manager for SKAGEN Vekst. He carries out macro and company research, is in daily contact with brokers and analysts and carries out company visits. He has a Bachelor of Commerce from BI and has since qualified as an Authorised Financial Analyst (AFA). Previously, Kristian has worked as controller for Block-Watne, financial analyst/broker for SR-Fonds and portfolio manager for Lærdal Finans. He joined SKAGEN Funds in 1997.
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