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To provide shareholders with positive returns in excess of cash over an investment cycle. The fund mainly invests, directly or through derivatives, in bonds, money market instruments and currencies from anywhere in the world. Specifically, the fund may invest in corporate and government debt securities and debt-related securities, inflation-linked bonds, covered bonds, convertible bonds, money market instruments, and UCITS/UCIs, including exchange-traded funds. The fund may invest in credit default swaps.
Name | Title | Since | Until |
---|---|---|---|
Søren Brogaard Lolle | - | 2013 | Now |
Karsten Bierre | - | 2013 | Now |
Biography | Karsten Bierre is the Head of Fixed Income Allocation in the Multi Assets Team. Mr. Bierre holds a Master's Degree in Economics from the University of Copenhagen and started his career with Danske Bank in 1994 as an Assistant Economist and later a Senior Economist. He joined Nordea Markets in 2001 as an adviser on the global economic and financial outlook for institutional clients, and later moved to Nordea Asset Management in 2003. Concurrently with positions in the banking sector Karsten has been affiliated with the Institute of Economics, University of Copenhagen, as an External Examiner. | ||
Caroline Henneberg | - | 2013 | Now |
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