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1.2B
1.25%
Oct 01, 1999
The fund invests in foreign government bonds issued by growth countries as defined and categorised by the World Bank. The goal of the investment strategy is to create return and risk profiles largely reflecting the Benchmark of the fund. An active attitude to the development and the potential of the individual regions and countries must contribute positively to the relative development compared to the general market. All currency risks are hedged.
Name | Title | Since | Until |
---|---|---|---|
Not Disclosed | - | 2014 | Now |
Anne Margrethe Tingleff | - | 2013 | 2014 |
Jacob Ellinge Nielsen | - | 2012 | 2013 |
Biography | Senior portfoliomanager at Sparinvest since 2008. Has previously worked in The Danish Centralbank and as portfoliomanager in "Danske civil- og akademiingeniørers Pensionskasse". Master's degree in economics from University of Copenhagen | ||
Sune Höjholt Jensen | - | 2007 | 2012 |
Biography | Portfoli Manager at Sparinvest since 2007. Has previously worked at Nykredit markets and Nordea markets. Education: M.Sc. Economics & Business Administration (Finance & Accounting), Copenhagen Business School | ||
Klaus Blaabjerg | Risk Manager | 2007 | 2012 |
Biography | Klaus Blaabjerg, Head of Credit, Chief Portfolio Manager, Global High Yield. Klaus attended the University of Copenhagen where he earned a MSc in Economics. His career started in 1999 at Realkredit Danmark as a Risk Manager, he then moved to Nykredit Asset Management as a Portfolio Manager. In 2000 Klaus became the responsible fund manager for Nykredit Invest Engros Eurokredit. This fund had 5 stars in Morningstar, when Klaus left Nykredit in 2003 to join Bankinvest as a senior portfolio manager responsible for launching and managing Bankinvest Corporate Credit, a Global Investment Grade fund with around 10% exposure to Emerging Market Corporates. Klaus resigned from Bankinvest in the summer of 2005, joining Sparinvest in August 2005. Late 2005 the Bankinvest Corporate Credit fund achieved 5 stars from Morningstar. Klaus was responsible for Credit Products at Sparinvest. Klaus resigned from his position at Sparinvest May 2014 having grown the Credit business from zero to €2bn+. The Investment Grade strategy, the global High Yield strategy and the EM Corporate Debt strategies all had 5 stars from Morningstar when Klaus resigned from Sparinvest. In Sparinvest the team won several awards - €uro FundAward in Germany 2010, 2011 and 2013, various ratings by Citywire and nominations and awards by Morningstar. Finally, Klaus and team were chosen by the Fixed Income team of Brandes Investment Partners in Milwaukee to co-manage a global corporate credit fund in 2010. Brandes Investment Partners based in San Diego California is a well-known Value based equity investor founded by Charles Brandes, a student of the famous father of Value investing, Benjamin Graham, in 1974. Charles Brandes also argued for a global approach to value investing. Klaus joined Absalon Capital in Jan 2015. | ||
Thomas Bjørn Jensen | Senior Portfolio Manager, Member | 2005 | 2007 |
Biography | Joined Sparinvest from financial software producer Simcorp in 2001 to strengthen the strategic asset allocation team. In 2002 he moved to the equity team to take charge of the index fund family Sparindex. Today, Thomas is a senior portfolio manager with the Sparinvest High Yield Value Bonds fund. He is also a member of the Sparinvest Investment Committee. Thomas holds a master’s degree in finance from the Copenhagen Business School. |
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