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The main market for the Fund will be the Nordic bond market. The Fund will invest in bonds and money market instruments issued or guaranteed by governments, local authorities as well as financial institutions and reputable and financially sound companies within Nordic countries and other countries in Europe. Generally the Fund will invest at least 70% of its Net Asset Value in Investment Grade or Investment Grade equivalent bonds or money market instruments. Investment grade is equivalent to AAA- to BBB- using the Standard and Poor's rating scale. The average modified duration of the Fund's portfolio of assets shall be within the range of 0 – 12 months..
Name | Title | Since | Until |
---|---|---|---|
Vegard Kjølhamar | - | 2019 | Now |
Trond Tømmerås | - | 2010 | Now |
Biography | Trond Tømmerås previously worked for Alfred Berg (1998-2010) as Portfolio Manager and head of the Norwegian fixed income team and tactical asset allocation team. He worked for Storebrand (1993-1998) as fixed income Portfolio Manager and for Fokus Bank (1989-1993) as fixed income analyst/dealer. He holds a BSc (Hon) from University of Warwick and M.A. from University of Reading and is also a Certified European Financial Analyst (AFA). | ||
Cathrine Foyn | - | 2010 | Now |
Jan Philippe Sissener | - | 2016 | 2018 |
Pål Renli | - | 2015 | 2015 |
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