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The Fund invests its assets globally primarily in bonds issued by emerging market governments, but some of the assets may also be invested bonds issued by companies located in such countries. The Fund does not usually invest in the riskiest issuers that have a risk rating of CCC+/Caa1 or worse. The objective of the Fund's investment activity is, through active fund management, to earn as high a return on the invested assets as possible from the bond markets of emerging economies over the medium term. The Fund does not have a benchmark index.
Name | Title | Since | Until |
---|---|---|---|
Lotta Kotioja | - | 2024 | Now |
Aarre Sahramaa | - | 2021 | Now |
Mikko Kuisma | Portfolio Manager | 2008 | 2021 |
Biography | M.Soc.Sc. (Econ.). Portfolio manager for the FIM Emerging Yield and Likvidi Funds. Fund manager for the FIM Piano. Previous experience as a head of fixed income with Mandatum Asset Management and as an economist with the Bank of Finland. In the industry since 1993 and with the company since 2007. |
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