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Dnb Private Banking Premium 30 A (0P0000L2PO)

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218.657 +0.290    +0.13%
20/12 - Closed. Currency in NOK
  • Morningstar Rating:
  • Total Assets: 2.29B
Type:  Fund
Market:  Norway
Issuer:  DNB Asset Management AS
ISIN:  NO0010531973 
Asset Class:  Equity
DNB Private Banking Premium 30 218.657 +0.290 +0.13%

0P0000L2PO Overview

 
On this page you'll find an in-depth profile of Dnb Private Banking Premium 30 A. Learn about the key management, total assets, investment strategy and contact information of 0P0000L2PO among other information.
Category

NOK Cautious Allocation

Total Assets

2.29B

Expenses

0.88%

Inception Date

Sep 25, 2009

Investment Strategy

The fund is a global investment mandate and the opportunity to invest in shares on the markets and sectors around the world. The fund will still largely be exposed in the same markets as at any time covered by the funds benchmark. The fund invest in their own managed and remote managed equity and fixed income funds. The Fund will normally have 30 percent equity funds and 70 percent bond funds. Interest-section will normally be invested in Norwegian, interest-bearing securities issued or guaranteed by the state, local, regional and financial institutions. All fixed income securities are denominated in Norwegian kroner. The fund may deviate 30/70 distribution and may allocate the funds assets between bonds and equities by up to 20 percent. This asset allocation is based on analysis of the asset classes price determination and macroeconomic development.

Contact Information

Address Dronning Eufemias gate 30
Oslo, 0091
Norway
Phone +47 81521111

Top Executives

Name Title Since Until
Torje Gundersen Portfolio Manager 2014 Now
Biography Torje Gundersen is portfolio manager for allocating portfolios. Before he started working in tactical asset allocation group in 2007, he worked as key account manager for internal distribution of funds from 2001 to 2006. He started his career in the Postbanken in 1998 as an advisor. Gundersen has a bachelor's degree in business administration from BI in Oslo. In addition, he has also accomplished studies to become both “Advanced Portfolio Manager” and “Interest rate analyst” from NFF.
Kevin Dalby - 2014 Now
Biography Kevin Bull Dalby is portfolio manager within asset allocation which he has worked with since 1999 apart from a period working with portfolio management and fund selection. He started his career as a risk analyst in Kreditkassen (Nordea) in 1996, and joined the company in 1998 as an analyst in the Middle Office. Dalby has taken a four year programme in economics and business administration consisting of three years at bachelor/undergraduate level and one year at master/graduate level (siviløkonom) at Norwegian School of Economics (NHH). He also holds a Master in Modelling and Data Analysis from University of Oslo (UiO) and is a qualified actuary certified by UiO.
Kjartan Farestveit - 2011 2014
Biography Kjartan Farestveit is portfolio manager for our balanced mandates. Kjartan joined the Fund Management company in 1997 as a portfolio manager for Norwegian interest rates. Farestveit came from Akershus Fylkeskommune Pension Fund where he was responsible for their fixed income portfolio. Previously, he worked as an inspector at Finanstilsynet (FSA). He holds an MBA from the Norwegian Management School (BI), and has in addition, a Masters in Finance from NHH.
Frode Veiby - 2011 2014
Roy Thore Larsen Portfolio Manager 2009 2014
Biography Roy Thore Larsen er porteføljeforvalter for allokeringsporteføljer. Før han startet i selskapet i 2006 var han derivatmegler hos Alfred Berg. I perioden 2000 til 2004 var han derivatmegler hos Handelsbanken Capital Markets. Han begynte sin karriere hos Norsk Opsjonssentral i 1997 hvor han jobbet med risikostyring av derivatporteføljer. Larsen er siviløkonom fra Norges Handelshøyskole i Bergen (NHH).
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