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The fund invests in both internal and external managed mutual funds. The management company is free to allocate between interest rates and stock based on current market view. In a normal position, the fund may be invested with approx. 50 percent in fixed income funds and about. 50 percent in equity funds (of which 15 per cent in the Norwegian equity funds and 35 percent in international equity funds). Maximum exposure to equities is 75 per cent of the funds total assets. Deviation from the normal position will reflect the market view. This is to provide unit holders with a maximum excess return relative to the funds benchmark. Part of the funds investments are traded in foreign currencies and currency fluctuations will therefore affect the value of the fund.
Name | Title | Since | Until |
---|---|---|---|
Torje Gundersen | Portfolio Manager | 2013 | Now |
Biography | Torje Gundersen is portfolio manager for allocating portfolios. Before he started working in tactical asset allocation group in 2007, he worked as key account manager for internal distribution of funds from 2001 to 2006. He started his career in the Postbanken in 1998 as an advisor. Gundersen has a bachelor's degree in business administration from BI in Oslo. In addition, he has also accomplished studies to become both “Advanced Portfolio Manager” and “Interest rate analyst” from NFF. | ||
Kjartan Farestveit | - | 2007 | Now |
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. | ||
Roy Thore Larsen | Portfolio Manager | 2011 | 2013 |
Biography | Roy Thore Larsen er porteføljeforvalter for allokeringsporteføljer. Før han startet i selskapet i 2006 var han derivatmegler hos Alfred Berg. I perioden 2000 til 2004 var han derivatmegler hos Handelsbanken Capital Markets. Han begynte sin karriere hos Norsk Opsjonssentral i 1997 hvor han jobbet med risikostyring av derivatporteføljer. Larsen er siviløkonom fra Norges Handelshøyskole i Bergen (NHH). | ||
Frode Veiby | - | 2011 | 2013 |
Einar Johansen | - | 2006 | 2007 |
Biography | Einar Johansen (born 1978) is Portfolio Manager for Carlson Fund - Europe. Mr. Johansen joined the firm in 2001 and is a portfolio manager within global equities with a focus on Europe and quantitative models. He is also involved with the risk management. Mr. Johansen holds a MSc in Economics and Business Administration with a specialisation in finance from the Norwegian School of Economics and Business Administration. He speaks Norwegian and English and is located in Oslo, Norway. Filip Boman (born 1968) is Portfolio Manager for Global Equities. He joined the group in 1996 as an analyst responsible for American equities and became Portfolio Manager in 2001. Previously, Mr. Boman worked for Ericsson and has two years experience from the insurance business. Mr. Boman holds a BA in Business Administration from Wittenberg University, Ohio as well as the degree Chartered Financial Analyst (CFA). |
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