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The subfund invests in long-term and medium-term government, mortgage and corporate bonds denominated in DKK or EUR. We pursue an investment strategy with focus on return optimisation while keeping a relatively low risk. Our objective is a return which exceeds the market return on our Danish government bonds. The subfund is aimed at risk-tolerant investors. On account of potential price fluctuations, it is important to have a medium-term or long-term investment horizon, so that you do not have to sell at an inopportune point in time.
Name | Title | Since | Until |
---|---|---|---|
Nicolai Kjer Rasmussen | - | 2010 | Now |
Henrik Jørgensen | bond Analyst | 2003 | 2023 |
Biography | Msc (econ), University of Aarhus. Born 1967. Previously economist at Garantifonden, bond analyst at Danske Bank and later at ABN Amro. Joined Nykredit Portfolio in 2000. | ||
Kenny Friis Gade | - | 2005 | 2015 |
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