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Danske Invest Tillväxtmarknadsobligationer KL SEK h (0P0000XQ3U)

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120.560 -0.220    -0.18%
19/07 - 延迟数据. SEK 货币 ( 免责声明 )
类型:  基金
市场:  丹麦
发行商:  Danske Invest
ISIN:  DK0060486090 
资产类别:  债券
  • 晨星评级:
  • 总资产: 939.35M
Danske Invest Tillväxtmarknadsobligationer KL SEK 120.560 -0.220 -0.18%

0P0000XQ3U概述

 
本页面提供Danske Invest Tillväxtmarknadsobligationer KL SEK h的详细介绍,帮助您了解0P0000XQ3U的高管、总资产、投资策略和联系方式等信息。
种类

其他債券

总资产

939.35M

费用

1.09%

开始日期

2012年12月12日

联络信息

地址 Bernstorffsgade 40
København V, 1577
Denmark
电话 +45 33337171

高管

名称 标题 任期
Anupam Damani Portfolio Manager 2024 now
背景介紹 Anupam is a portfolio manager for Nuveen’s global fixed income team and heads the international and emerging markets debt sector team, which selects non-U.S. credit securities for all products. She is the lead portfolio manager of the International Bond strategy and co-portfolio manager of the Emerging Markets Debt strategy and specializes in international sovereign credit, global rates and foreign currency. Anupam is also a member of the Investment Committee, which discusses and debates investment policy for all global fixed income products. Previously, Anupam was the sovereign research analyst for central and Eastern Europe, Middle East and Africa regions, lead emerging markets debt trader and portfolio manager for Eurozone Debt. Before joining the firm in 2005, she was an EMD portfolio manager and trader at Citigroup. Anupam began working in the investment industry in 1995. Anupam was ranked one of the 2018 Top 20 female portfolio managers in the United States by Citywire Professional Buyer magazine. Anupam graduated with a B.A. in Political Science and Economics from Calcutta University in India and an M.B.A. in Financial and Investment Management from Pace University, New York. She holds the CFA designation.
Nick Saunders - 2024 now
Søren Mørch - 2023 now
Joshua David Loud - 2022 now
Derek Pádric Traynor - 2022 now
Marco Silvo - 2022 now
Anne Margrethe Tingleff - 2017 2022
背景介紹 Anne Margrethe Tingleff is a Senior Portfolio Manager and is responsible for formulating hard currency and local currency strategies with special focus on frontier countries. She has been with Global Evolution since 2024. Ms. Tingleff attended the University of Copenhagen, Denmark (2003 – 2009) where she earned an MSc in Economics. From 2010 to 2014, she held a position at Sparinvest where she was part of the investment management team responsible for fixed income and FX mutual funds. From 2014 – 2020 she was at Nordea Asset Management being part of the team responsible for Global Fixed Income and Emerging Markets Debt and FX, and lately she was part of Danske Bank Asset Management from 2020-2024, with the team responsible for Emerging Markets Debt and FX.
Thorben Velling - 2013 2022
背景介紹 Thorben Velling's career began in 1989 where Thorben worked in the Danish Economic Ministries – including the Ministry of Finance. Then he moved to Jyske Bank as Head of European Economics – where he worked as a strategist. In 2008 he joined Jacob Elbækgaard as Portfolio Manager on Emerging Market Bonds. Thorben is MSc in Economics from University of Aarhus and also a CFA charterholder Thede Christoph Rüst joined Nordea Investment Management AB in 2014 as Lead PM on Global Bonds. In 2016 he became Head of the Emerging Markets Debt team. He started his career at ING Investment Management in the Emerging Markets Debt team in 2007. Thede obtained an MSc in Business & Development Studies from the Copenhagen Business School, Denmark and specialised in Economics during his MBA at the Schulich School of Business in Toronto, Canada. He earned a BBA from the International Business School in Groningen, The Netherlands and from the University of Macau, China.
Jacob Ellinge Nielsen - 2013 2022
背景介紹 Senior portfoliomanager at Sparinvest since 2008. Has previously worked in The Danish Centralbank and as portfoliomanager in "Danske civil- og akademiingeniørers Pensionskasse". Master's degree in economics from University of Copenhagen
Bent Lystbæk bond analysis, management 2013 2022
背景介紹 Mr Lystbæk has special responsibility for international credit bond strategies. He holds a MSc (Economics) and has been employed by Danske Capital since 1990 with responsibility for bond analysis and the management of fixed income portfolios. He has worked in the financial sector since 1985
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