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The assets of the Fund are mainly invested in Finnish equities and equity-linked securities. Investments are also made in companies listed outside Finland provided that Finland is, in our estimate, a key market for such a company. 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. The aim is to outperform the benchmark index, which is the euro-denominated OMX Helsinki Benchmark (tr) return index.
Name | Title | Since | Until |
---|---|---|---|
Juha Varis | - | 2019 | Now |
Sauli Hämäläinen | - | 2018 | 2019 |
Ville Kantola | - | 2016 | 2018 |
Mika Heikkinen | - | 2000 | 2016 |
Samuli Outinen | Analyst, Portfolio Manager | 2012 | 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. | ||
Markku Kaloniemi | - | 1998 | 2012 |
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