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The investment strategy focuses on four areas: short-term bonds in select currencies, long-term bonds, gold/silver and global stocks, where the market risk can be covered with options or futures. The weight between the four areas will vary depending on the actual scenarios on the financial markets. Bonds will make up between 30 and 80%. Gold and silver cannot exceed more than 40%. Stocks will be between 0 and 60%.
Name | Title | Since | Until |
---|---|---|---|
Gustav B. Smidth | - | 2018 | Now |
Biography | Gustav Bundgaard Smidth has served as Portfolio Manager in Maj Invest since 2011 and was appointed Head of Fixed Income in 2018 with the overall responsibility for the management of all bond portfolios, including the Maj Invest Kontra Strategier fund (counter-cyclical strategies). Gustav spent 2006 to 2011 as Senior Analyst with Danske Markets in Fixed Income Research. Gustav started his career in the financial sector with Alm. Brand Børs in 2003. Gustav holds a Master in Mathematics and Economics from Copenhagen University and occasionally acts as external examiner for mathematics and economics students at the university. | ||
Torsten Bech | - | 2019 | 2024 |
Biography | Torsten Bech has worked with equity investments since 2000 and has been employed at Maj Invest since 2007. Torsten is a portfolio manager responsible for thematic equity strategies. Earlier employments include Jyske Bank, among others. Torsten holds an MSc in Finance from Aarhus University. | ||
Peter Mosbæk | - | 2006 | 2018 |
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