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Afdelingens formål er at maksimere afkastet og samtidig minimere risikoen af afkastet udtrykt i kroner. Afdelingen vil søge at tage en specifik, men diversificeret kreditrisiko, og må forventes at have et højere risikoniveau end porteføljer med stats- og realkreditobligationer samt visse aktieporteføljer. Afdelingens midler vil primært blive investeret i højtforrentede obligationer med fast eller variabel rente, konvertible obligationer eller præferenceaktier udstedt af selskaber der er hjemmehørende eller har hovedaktivitet i Europa. Minimum to tredjedele af afdelingens formue skal være investeret i sådanne aktiver. Sekundært kan der investeres i andre obligationer med højere kreditrating, inklusive europæiske statsobligationer.
Name | Title | Since | Until |
---|---|---|---|
Rasmus Gutknecht | - | 2012 | Now |
Claus Hvidegaard | Analyst | 2012 | 2017 |
Biography | MSc (econ), University of Aarhus. Has previously worked as analyst at Nordea and later at Novo Nordisk's corporate treasury. | ||
Nicolai Lassesen | - | 2012 | 2014 |
Not Disclosed | - | 2012 | 2012 |
Yannick Aron | Analyst | 2004 | 2010 |
Biography | Mr. Aron is a Senior Vice President and Portfolio Manager, responsible for managing European High Yield institutional portfolios and as well as the European segment of Global High Yield mutual funds and institutional mandates. Previously, Mr. Aron was a risk manager and quantitative analyst on the European High Yield team with responsibility for all valuation and relative value trading tools, as well as risk management monitoring. Mr. Aron has been in the investment industry since 1996. |
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