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The fund is actively managed, which means that the portfolio manager takes active, independent investment decisions. The long term objective of the fund is to exceed the returns of the underlying market, defined as the benchmark index. Fund returns are determined by how the fund's investments in equities increase or decrease in value. The fund invests in equities and equity-related instruments issued by companies headquartered in Sweden, or that are traded on a regulated market in Sweden. We place particular emphasis on ensuring that the company’s strategy concurs with our assessment of what can generate favourable share price performance when we select equities for the fund. International norms and guidelines for the environment, social responsibility and corporate governance are taken into consideration within the scope of the fund’s investment focus.
Name | Title | Since | Until |
---|---|---|---|
Mattias Nilsson | - | 2022 | Now |
Oscar Karlsson | - | 2016 | 2022 |
Christian Brunlid | - | 2015 | 2016 |
Stefan Sundblom | - | 2013 | 2015 |
Tomas Risbecker | - | 2010 | 2013 |
Stefan Roos | Portfolio Manager | 2004 | 2005 |
Dick Bergkvist | - | 1988 | 2005 |
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