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Nordea 1 - Global Bond Fund Bp Nok (0P00001BQB)

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191.513 +0.580    +0.30%
08/05 - Closed. Currency in NOK ( Disclaimer )
Type:  Fund
Market:  Luxembourg
Issuer:  Nordea Investment Funds SA
ISIN:  LU0173921668 
Asset Class:  Bond
  • Morningstar Rating:
  • Total Assets: 35.09M
Nordea 1 Global Bond Fund BP NOK 191.513 +0.580 +0.30%

Nordea 1 - Global Bond Fund Bp Nok Overview

 
On this page you'll find an in-depth profile of Nordea 1 - Global Bond Fund Bp Nok. Learn about the key management, total assets, investment strategy and contact information of 0P00001BQB among other information.
Category

Global Bond

Total Assets

35.09M

Expenses

0.83%

Inception Date

Sep 15, 2003

Investment Strategy

To provide shareholders with investment growth in the medium to long term. Benchmark JP Morgan GBI Global – Total Return Index (in EUR). For performance comparison only. Risk characteristics of the fund’s portfolio may bear some resemblance to those of the benchmark. The fund uses a benchmark which is not aligned with the environmental and social characteristics of the fund.

Contact Information

Address PB 1166 Sentrum
Luxembourg, L-2220
Luxembourg
Phone 00352 43 39 50 1
Fax 352 43 39 48

Top Executives

Name Title Since Until
Anton Nykvist - 2015 Now
Thede Rüst - 2015 Now
Biography Thede Christoph Rüst joined Nordea Investment Management AB in 2014 as Lead PM on Global Bonds. In 2016 he became Head of the Emerging Markets Debt team. He started his career at ING Investment Management in the Emerging Markets Debt team in 2007. Thede obtained an MSc in Business & Development Studies from the Copenhagen Business School, Denmark and specialised in Economics during his MBA at the Schulich School of Business in Toronto, Canada. He earned a BBA from the International Business School in Groningen, The Netherlands and from the University of Macau, China. Emil Nejstgaard joined Nordea Investment Management AB as Graduate in the Emerging Markets Debt team in 2014. From 2016 to 2018 he worked as a Quantitative Analyst within the EMD team. In 2018 he became Portfolio Manager on the Emerging Markets Debt Total Return fund. He holds an MSc and a PhD in economics from the University in Copenhagen. Having focused his PhD on econometrics, he did a one year stay at CREST / ENSAE (Centre for Research in Economics and STatistics) / (Ecole Nationale de la Statistique et de l’Administration Economique).
Martti Forsberg - 2014 2015
Rolf Ohlson Head, Portfolio Manager 2011 2014
Biography Rolf Ohlson, Head and PM for Swedish & Danish DFI. Rolf began his financial career in 1987 at Trading & Capital markets with SEB. September 2000 he joined ÖresundsbroKonsortiets Treasury department, managing the debt portfolio. In may 2005 he joined Nordea Investment Management. In July 2007 he became Head of the Global DFI team and is responsible for Euro government funds, Global Fixed Income funds, Emerging Markets funds and DFI funds.
Torbjörn Kronblad - 2010 2011
Peder Gervin Pedersen - 2000 2010
Rolf Ohlson Head, Portfolio Manager 2007 2010
Biography Rolf Ohlson, Head and PM for Swedish & Danish DFI. Rolf began his financial career in 1987 at Trading & Capital markets with SEB. September 2000 he joined ÖresundsbroKonsortiets Treasury department, managing the debt portfolio. In may 2005 he joined Nordea Investment Management. In July 2007 he became Head of the Global DFI team and is responsible for Euro government funds, Global Fixed Income funds, Emerging Markets funds and DFI funds.
Michael Kjærbye-Thygesen - 2007 2007
Stefan Rocklind Member 2005 2007
Biography Stefan Rocklind began his financial career in 2000 with Handelsbanken Asset Management, where he worked as an assistant portfolio manager in Global Fixed Income. From 2003, he worked with IT-development at Handelsbanken Asset Management. He then joined the Global Fixed Income Team at Nordea Investment Management in 2004. His main responsibility is managing selected global government bond portfolios and being the main driver for the group’s market and risk management models. Stefan holds a joint MSc. degree in Finance and Economics from the Stockholm School of Business.
Kim Asger Olsen Portfolio Manager 1989 2004
Biography Kim Asger Olsen began his career in academia, before joining Danish bank Privatbanken in 1987, first as an economist and later as a market strategist. He transferred to Luxembourg in 1990, where he specialised in developing products and strategies for high net worth clients. Among other things he worked with the development of systematic volatility-based investment strategies. From 1992 he headed the Fund Management unit while also managing two investment funds investing in global bonds. In 2004 he took the position of Managing Director in Nordea Investment Funds. He built up a unit managing equities globally based on a value concept. He also drove the launch of a hedge fund structure. In 2007 he joined Danish asset management firm BankInvest and founded a fund distribution company marketing investment funds across Europe. He studied economics in Denmark, Italy, and France.
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