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To provide shareholders with investment growth in the medium to long term. The fund mainly invests in corporate bonds denominated in EUR and credit default swaps. Specifically, the fund invests at least two thirds of total assets in EUR-denominated corporate bonds and credit default swaps whose underlying credit risk is linked to such bonds. The fund also invests at least two thirds of total assets in debt securities with a long-term rating of AAA/Aaa or lower, but not lower than BBB-/Baa3, or equivalent. The fund’s main currency exposure is to the base currency, although it may also be exposed (through investments or cash) to other currencies.
Name | Title | Since | Until |
---|---|---|---|
Jan Sørensen | - | 2019 | Now |
Biography | Jan joined Nordea in 2009. Previously he worked as chief portfolio manager on credit portfolios with Danske Capital for 9 years. He started his career in Danske Bank as a credit analyst on international oriented major corporate customers in the Credit Department, Syndicated Loans and Corporate Banking. In between Danske Capital and Danske Bank he had a position as Vice President with Nykredit arranging and participating in acquisition finance, participation in syndicated loans and managing a portfolio of corporate bonds. Jan was one of two starting up the business in Nykredit Bank. |
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