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The fund invests in Danish bonds. Therefore, investments can only be made in Danish government bonds, mortgage credit bonds and in similar securities. The bond portfolio has an adjusted duration of between 4 to 5 years. The bond portfolio has been carefully selected with the goal to provide a reasonable return to the investors. The goal of the fund is to provide a return corresponding to an investment in medium-long Danish bonds. The fund is well-suited for investors with a time horizon of minimum 2-3 years.
Name | Title | Since | Until |
---|---|---|---|
Morten Estrup | - | 2019 | Now |
Janne Bjerregaard | - | 2014 | Now |
Kristian Myrup Pedersen | - | 2015 | 2019 |
Claus C. Caröe | Head | 2012 | 2014 |
Biography | Senior portfoliomanager at Sparinvest since 2005, and head of fixed income since 2007. Has previously worked as fixed income analyst in ABN Amro and Unibank/Nordea. Master’s degree in mathematical economics in 1995 and Ph.D. in mathematics 1998, both from University of Copenhagen. | ||
Ann Frank Andresen | - | 2007 | 2012 |
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