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The Fund seeks value increase in the long term through active asset management. The Fund aims to achieve the objectives of its investment activities by investing the Fund’s assets in a diversified manner in bonds and other interest bearing securities that are euro-denominated and primarily issued by governments in the European Economic Area. The Fund’s modified duration, may be a maximum of 10 years. The long-term credit rating of issuers not listed in the Nordic countries or Finland must be at least Baa3 from Moody’s or BBB- from Standard & Poor’s.
Name | Title | Since | Until |
---|---|---|---|
Christian Østerbye Vejen | - | 2017 | Now |
Tomi Suonpää | - | 2004 | 2017 |
Mikko Kuisma | Portfolio Manager | 2003 | 2005 |
Biography | M.Soc.Sc. (Econ.). Portfolio manager for the FIM Emerging Yield and Likvidi Funds. Fund manager for the FIM Piano. Previous experience as a head of fixed income with Mandatum Asset Management and as an economist with the Bank of Finland. In the industry since 1993 and with the company since 2007. | ||
Jouni Rautala | Portfolio Manager | 2003 | 2003 |
Biography | BSc.(Administration and Economics), Sweden 1986-1989. ISMA-exam and several international finance courses. Fund manager at FIM Asset Management Ltd since 2004. Portfolio manager responsible for FIM Real. Previously worked as a risk management expert, as an interest rate asset manager since 1992 (Bank of Finland, Sampo, Mandatum Asset Management Ltd.) and in company administration at Nokias Stockholm office. |
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