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Dnb Aktiv Rente (0P00001BVJ)

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105.573 +0.110    +0.10%
02/05 - Closed. Currency in NOK ( Disclaimer )
Type:  Fund
Market:  Norway
Issuer:  DNB Asset Management AS
ISIN:  NO0010337439 
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 3.29B
DNB Aktiv Rente 105.573 +0.110 +0.10%

Dnb Aktiv Rente Overview

 
On this page you'll find an in-depth profile of Dnb Aktiv Rente. Learn about the key management, total assets, investment strategy and contact information of 0P00001BVJ among other information.
Category

NOK Bond - Short Term

Total Assets

3.29B

Expenses

0.50%

Inception Date

Sep 26, 2005

Investment Strategy

In accordance with its investment mandate, the fund primarily invests in security fund units in Funds classified as fixed income funds, which includes both money market and bond funds. The Fund investments are mostly in financial instruments issued by Norwegian companies, authorities and institutions. Investments may also be made in Funds that invest in financial instruments issued by foreign companies, authorities and institutions. The fund is allowed to invest up to 20% of its capital in financial instruments other than security fund units when this is deemed appropriate to achieve the desired exposure. Derivatives may be used to reduce the funds sensitivity to changes in interest rates. The funds investment mandate gives DNB Asset Management a good deal of latitude with respect to managing the funds assets.

Contact Information

Address Dronning Eufemias gate 30
Oslo, 0091
Norway
Phone +47 81521111

Top Executives

Name Title Since Until
Arne Mjelde Portfolio Manager 2007 Now
Biography Arne Mjelde is portfolio manager for Norwegian bond funds. Before joining DNB Asset Management in 2001, he worked as Head of trading in DNB, responsible for DNB Bank's own bondportfolio, and trading of government and corporate bonds. He joined the DNB Group in 1995. He has previously worked in the treasury department in Christiania Bank (Nordea) and Norgeskreditt. Mjelde holds an MBA from the University of Colorado at Boulder and is also an authorized financial analyst (AFA) from the Norwegian Business School (NHH).
Kjartan Farestveit - 2005 2007
Biography Kjartan Farestveit is portfolio manager for our balanced mandates. Kjartan joined the Fund Management company in 1997 as a portfolio manager for Norwegian interest rates. Farestveit came from Akershus Fylkeskommune Pension Fund where he was responsible for their fixed income portfolio. Previously, he worked as an inspector at Finanstilsynet (FSA). He holds an MBA from the Norwegian Management School (BI), and has in addition, a Masters in Finance from NHH.
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