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To provide shareholders with investment growth in the medium to long term. The fund mainly invests in high yield bonds and credit default swaps. Specifically, the fund invests at least two thirds of total assets in high yield debt securities, credit default swaps and other debt securities, including contingent convertible bonds, that are denominated in European currencies or are issued by companies (or their parent company) that are domiciled, or conduct the majority of their business, in Europe. The fund’s major part of currency exposure is hedged to the base currency, although it may also be exposed (through investments or cash) to other currencies.
Name | Title | Since | Until |
---|---|---|---|
Martin Ovesen | - | 2021 | Now |
Biography | Martin Møller Ovesen is co-portfolio manager of the Nordea European High Yield Credit and European High Yield Stars strategies. He joined the Credit Team in 2016 as a credit analyst. Prior to joining Fixed Income Credit, Mr. Ovesen was Head of Credit and Industry Analysis in Nordea Group Credit. Prior to this he was Relationship Manager in Nordea Corporate & Institutional Banking and Client Manager in Institutional Clients at Nordea Investment Management. Mr Ovesen has a general banking education and holds a Graduate Diploma in Business administration, Finance and Accounting from Copenhagen Business School. | ||
Fredrik Strand | - | 2019 | Now |
Kristian Hagelin | - | 2019 | Now |
Torben Frederiksen | - | 2019 | 2021 |
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