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The fund is invested in fixed income securities denominated in Norwegian kroner. The fund invests at least 90 percent of the fund's value in securities with a minimum credit quality of BBB minus ("investment grade"). The duration of the fund will normally be between two and four years. Up to 25% of the Fund's total assets may be invested in subordinated loans. Fixed income funds will be exposed to credit risk, ie the risk that the issuer will not be able to meet its obligations when the bond matures.
Name | Title | Since | Until |
---|---|---|---|
Arne Mjelde | Portfolio Manager | 2006 | Now |
Biography | Arne Mjelde is portfolio manager for Norwegian bond funds. Before joining DNB Asset Management in 2001, he worked as Head of trading in DNB, responsible for DNB Bank's own bondportfolio, and trading of government and corporate bonds. He joined the DNB Group in 1995. He has previously worked in the treasury department in Christiania Bank (Nordea) and Norgeskreditt. Mjelde holds an MBA from the University of Colorado at Boulder and is also an authorized financial analyst (AFA) from the Norwegian Business School (NHH). |
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