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The Fund is a fund of fund with DNB Norge (IV) and has a composition that largely reflects the total market in Norway. The bulk of the funds invested in a wide range of leading companies listed on the Oslo Stock Exchange. The Fund may invest up to 20 percent of foreign companies. The portfolio has a good spread between companies and industries. Investment decisions are taken based on fundamental analysis of markets, industries and companies.
Name | Title | Since | Until |
---|---|---|---|
Odd Einar Lillebostad | Portfolio Manager | 2019 | Now |
Biography | Odd Einar Lillebostad er porteføljeforvalter og teamleder for norske aksjer. Han startet i DNB Asset Management i 1998 og i konsernet i 1992. I perioden 1992 til 1998 jobbet han som forvalter for norske aksjer for Vital Forsikring. Tidligere har han jobbet som norsk aksjeforvalter for Vesta Hygea og Vesta Forsikring. Lillebostad er siviløkonom fra Norges Handelshøyskole i Bergen og har en utdypning i finans fra Northwestern University. I tillegg er han Autorisert Finansanalytiker (AFA). | ||
Jarle Sjo | Lead Portfolio Manager | 2016 | 2019 |
Biography | Jarle Sjo is portfolio manager for Norwegian equities. He joined DNB Asset Management in 2016. Sjo came from ODIN Forvaltning where he also was portfolio manager responsible for ODIN Norge and partial responsibility for ODIN Norden. Sjo acted also as CIO in ODIN Forvaltning in the period 2012-2014. He has worked eleven years as an analyst within the energy sector. He also has extensive experience in portfolio management, both here in Norway and London. Sjo holds an MBA from the University of Stirling and has completed studies “Høyere Avdeling from NHH” (Norges Handelshøyskole). | ||
Dag Hammer | - | 2011 | 2018 |
Biography | Dag Hammer is a portfolio manager for Norwegian equities covering the cyclical sectors. He joined the company in 1993 with a position as Controller in Focus Finance. In 1994 he started as an analyst at Elcon Fondsforvaltning. From 1996 - 2003 he worked as a portfolio manager covering Norwegian equities, but also periodically covering global equities. From 2003 Hammer has worked as a sector manager covering the cyclical sectors for Norwegian equities. In addition, he took over as portfolio manager for DNB SMB from 07.12.2015. Hammer is a graduate from the University of Colorado, Boulder, with a Bachelor of Science in Business Administration, and from Carnegie Mellon University with a Master of Science in Industrial Administration. In addition, he is and Authorized Financial Analyst (CFA). | ||
Thomas Alexander Vogt | - | 2015 | 2016 |
Biography | Thomas A. Vogt is a portfolio manager | ||
Bjarne Liseth | - | 2014 | 2015 |
Biography | Bjarne H. Liseth er porteføljeforvalter for DnB NOR Norge Selektiv porteføljene. Fra november 1999 ble Liseth porteføljeforvalter på det norske aksjeteamet med ansvar for sektorene konsum, fisk, skog og eiendom. Fra 2001 ble ansvarsområdet utvidet til også å gjelde teknologi og telekom. Siden august 2007 har Liseth vært dedikert forvalter for DnB NOR Norge Selektiv porteføljene. Han er siviløkonom og Cand. Merc. fra Norges Handelshøyskole i Bergen (NHH). | ||
Eirik Torbjørn Hauge | - | 2011 | 2015 |
Biography | Eirik T. Hauge is Head of Quantitative Equity Strategies and Equity Trading. He started in DNB Asset Management as an equity and derivatives trader in 2006 and moved on to be a portfolio manager in 2007. He has experience from ABN AMRO and Handelsbanken as a derivative market maker. He started his career at Oslo Børs in 1993 as a derivatives floor trader. Eirik holds a BA in Business from The Norwegian School of Management (BI) and a Master of Science in Accounting and Finance from London School of Economics. He has also taken courses in Statistics and Finance at the University of Bergen. | ||
Thomas Alexander Vogt | - | 2002 | 2014 |
Biography | Thomas A. Vogt is a portfolio manager | ||
Anders Petter Wik | Portfolio Manager | 2011 | 2013 |
Biography | Anders Petter Wik er porteføljeforvalter for norske aksjer med ansvar for bank, finans, eiendom, konsum og media. Han startet i selskapet i 1998 som analytiker med fokus på risikostyring. Wik er siviløkonom fra Norges Handelshøyskole i Bergen (NHH). I tillegg er han Autorisert Finansanalytiker (AFA), Advanced Portfolio Manager (NFF) og har en MBA med spesialisering i finans (NHH). |
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