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El fondo invierte en renta fija danesa. El Fondo de bonos danés invierte un mínimo de dos tercios de sus activos netos en renta fija y títulos de deuda con tasa flotante emitidos por prestatarios privados y autoridades públicas domiciliado en Dinamarca. El Fondo invierte en bonos denominados en coronas danesas. Invierte en bonos o bonos emitidos por las autoridades locales o agencias, obligaciones hipotecarias, bonos corporativos con una buena calificación, y bonos emitidos por instituciones supranacionales. El Fondo podrá utilizar más los instrumentos derivados para reducir los riesgos. El Fondo tiene por objetivo aprovechar los movimientos de los mercados, así como los márgenes de rendimiento entre los distintos segmentos de riesgo crediticio.
Nombre | Título | Desde | Hasta |
---|---|---|---|
Henrik Stille | Portfolio Manager | 2008 | Ahora |
Biografía | Henrik is the Portfolio Manager of the Nordea 1-Low Duration European Covered Bond Fund, the Nordea 1-European Covered Bond Fund (since 2012) and the Nordea 1-Danish Mortgage Bond Fund (since 2008). He has been working in Nordea' s Danish Fixed Income Team since 2005. Henrik began his career as assistant Portfolio Manager after he successfully passed his studies at University of Lund, Sweden. He holds a MSc in Economics and Business Administration and participated in Nordea' s 2 year graduate program. After working as an Assistant Portfolio Manager and completing the Graduate program he took over the responsibility as a Portfolio Manager in the Danish Fixed Income Team in 2007. | ||
Torben Svendsen | Bond Manager | 2006 | 2008 |
Biografía | Torben Svendsen started his career in 1987 as Portfolio Manager with Andelsbanken, a predecessor of Nordea's. In 1993, he moved to Treasury as a Proprietary Trader for fixed income. In 1995, he moved to Nordea Investment Management, where today he is responsible for Danish Mortgage Bonds and European Covered Bonds. Torben holds an MSc in Finance from the Copenhagen Business School and is also an approved Real Estate Manager/Broker. | ||
Flemming Thestrup | Portfolio Manager | 2000 | 2008 |
Biografía | Flemming Thestrup studied Finance at the Aarhus School of Business and San Francisco State University, and graduated with a Masters degree in 1996. After graduating, he joined Unibank Markets, Copenhagen, where he worked with investments in the retail department for private clients. As part of his responsibilities, he also trained Unibank’s investment advisers in investment strategies. Flemming joined Unibank Luxembourg in 1999 as Fund Manager, occupying the same position in Nordea Bank S.A. He was responsible for Danish Bond Funds, Euro Bond Fund, DKK Reserve and EUR Reserve. In 2003, he transferred to Copenhagen where he works as a Portfolio Manager specialising in Danish mortgage bonds. |
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