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The fund invests in stock, bond and money markets. Management of the funds bond portfolio is based on long-term interest rate prognoses. The composition of the funds overall portfolio is based on the following guidelines: Remaining term to maturity over 10 years: 95 % equities and 5 % fixed income. Remaining term to maturity under 10 years: 90 % equities and 10 % fixed income. Remaining term to maturity under 9 years 80 % equities and 20 % fixed income. Remaining term to maturity under 8 years: 70 % equities and 30 % fixed income etc. Since some of the funds assets are traded in foreign currencies, fluctuations in the NOK exchange rate can affect the value of the funds portfolio.
Name | Title | Since | Until |
---|---|---|---|
Jarle Sjo | Lead Portfolio Manager | 2016 | 2020 |
Biography | Jarle Sjo is portfolio manager for Norwegian equities. He joined DNB Asset Management in 2016. Sjo came from ODIN Forvaltning where he also was portfolio manager responsible for ODIN Norge and partial responsibility for ODIN Norden. Sjo acted also as CIO in ODIN Forvaltning in the period 2012-2014. He has worked eleven years as an analyst within the energy sector. He also has extensive experience in portfolio management, both here in Norway and London. Sjo holds an MBA from the University of Stirling and has completed studies “Høyere Avdeling from NHH” (Norges Handelshøyskole). | ||
Odd Einar Lillebostad | Portfolio Manager | 2013 | 2020 |
Biography | Odd Einar Lillebostad er porteføljeforvalter og teamleder for norske aksjer. Han startet i DNB Asset Management i 1998 og i konsernet i 1992. I perioden 1992 til 1998 jobbet han som forvalter for norske aksjer for Vital Forsikring. Tidligere har han jobbet som norsk aksjeforvalter for Vesta Hygea og Vesta Forsikring. Lillebostad er siviløkonom fra Norges Handelshøyskole i Bergen og har en utdypning i finans fra Northwestern University. I tillegg er han Autorisert Finansanalytiker (AFA). | ||
Kjartan Farestveit | - | 2007 | 2020 |
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. | ||
Thomas Alexander Vogt | - | 2015 | 2016 |
Biography | Thomas A. Vogt is a portfolio manager | ||
Anders Petter Wik | Portfolio Manager | 2006 | 2013 |
Biography | Anders Petter Wik er porteføljeforvalter for norske aksjer med ansvar for bank, finans, eiendom, konsum og media. Han startet i selskapet i 1998 som analytiker med fokus på risikostyring. Wik er siviløkonom fra Norges Handelshøyskole i Bergen (NHH). I tillegg er han Autorisert Finansanalytiker (AFA), Advanced Portfolio Manager (NFF) og har en MBA med spesialisering i finans (NHH). |
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