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49.84M
1.61%
May 07, 2001
The assets of the Fund are invested primarily in mutual funds managed by S-Bank Fund Management as well as in units in other mutual funds and UCITS so that, depending on the market situation, at maximum 80 % of the Fund’s assets is invested in funds that invest in the stock markets globally and at minimum 20 % of the Fund’s assets in funds that invest in the fixed income markets. The investment decisions are based on our market and equity views. Under normal circumstances approximately 50 % of the Fund’s assets is invested in funds that invest in the stock markets. The objective of the Fund’s investment activity is to earn as high a return on the invested assets as possible over the long term through active fund management.
Name | Title | Since | Until |
---|---|---|---|
Ari Pakarinen | - | 2020 | Now |
Jouni Salmenkivi | - | 2015 | 2020 |
Janne Nisula | - | 2015 | 2019 |
Johanna Juujärvi | - | 2012 | 2015 |
Tapani Koskenkari | Portfolio Manager | 2014 | 2015 |
Biography | M.Sc. (Econ.), Helsinki School of Economics and Ph.D. (Pharm.), University of Helsinki. Portfolio manager responsible for FIM Rohto BioMed since December 2007. More than ten years working experience in healthcare sector, mostly in pharmaceutical industry. Responsibilities have included working with healthcare companies worldwide and also different management positions in pharmaceutical industry. | ||
Samuli Outinen | Analyst, Portfolio Manager | 2011 | 2014 |
Biography | M.Sc. (Finance). Fund manager of the FIM Japan and FIM Japan Small Cap Funds. Also takes part in the management of the FIM Maltti and FIM MultiHedge Non-UCITS Funds. Previous experience as an analyst with Glitnir Asset Management for FIM Maltti and FIM MultiHedge and as a research assistant at the University of Vaasa Department of Accounting and Finance. Outinen has also participated in the writing of a book on derivatives for universities. In the industry since 2007 and with the company since 2007. | ||
Mikko Kuisma | Portfolio Manager | 2007 | 2012 |
Biography | M.Soc.Sc. (Econ.). Portfolio manager for the FIM Emerging Yield and Likvidi Funds. Fund manager for the FIM Piano. Previous experience as a head of fixed income with Mandatum Asset Management and as an economist with the Bank of Finland. In the industry since 1993 and with the company since 2007. | ||
Jyrki Uurasmaa | - | 2004 | 2011 |
Taina Eräjuuri | Lead Portfolio Manager | 2001 | 2004 |
Biography | M.Sc. (Econ. & Bus. Adm.), MBA, CPE law degree, Investment Management degree, Corporate Finance degree. Primary fund manager of the FIM China, FIM India and FIM Tiger Funds. Previous experience as an international portfolio manager at Merita Asset Management, as an analyst and investment banker at Goldman Sachs and SavoryMilln (UBS) and as a stockbroker at Robert Fleming. In the industry since 1983 and with the company since 2000. |
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