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The purpose of the Fund is to provide the unit holders with the best possible long-term risk-adjusted return. The Fund’s benchmark index is MSCI Daily TR Net Emerging Markets in NOK. The benchmark index is adjusted for dividends and withholding taxes. The Fund invests mainly in companies that are listed in or have significant exposure to emerging markets. Up to 10 % of the Fund’s assets may be invested in other financial instruments. The Fund does currently not use derivatives. The Fund’s return will be affected by the currency exchange rate fluctuations between Norwegian kroner and currencies the Fund has exposure towards. The Fund does currently not lend financial instruments.
Name | Title | Since | Until |
---|---|---|---|
Harald Jeremiassen | Lead Portfolio Manager | 2011 | Now |
Leif Anders Frønningen | Assistant Portfolio Manager | 2010 | Now |
Jann Molnes | - | 2006 | 2010 |
Hogne I. Tyssøy | - | 2002 | 2006 |
Monica Mjös | - | 2001 | 2001 |
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