突发资讯
立即订阅 0
💎 挖掘各大市场被低估的宝藏股
立即进入
结束

Nordea 1 - European High Yield Bond Fund AP EUR (0P000064AL)

创建提醒
New!
创建提醒
网站
  • 作为提醒通知
  • 您需要登录至您的账户才能使用此功能
移动App
  • 您需要登录至您的账户才能使用此功能
  • 请确保以同样的用户个人资料登录

条件

提醒频率

一次
%

提醒频率

提醒频率

通知方式

状态

从投资组合添加/删除 添加至投资组合
添加至自选组合
添加头寸

头寸已成功添加至:

请给您的持仓投资组合命名
 
14.665 -0.020    -0.12%
31/10 - 闭盘. EUR 货币
类型:  基金
市场:  卢森堡
发行商:  Nordea Investment Funds SA
ISIN:  LU0255640731 
资产类别:  债券
  • 晨星评级:
  • 总资产: 3.05B
Nordea 1 - European High Yield Bond Fund AP EUR 14.665 -0.020 -0.12%

0P000064AL概述

 
本页面提供Nordea 1 - European High Yield Bond Fund AP EUR的详细介绍,帮助您了解0P000064AL的高管、总资产、投资策略和联系方式等信息。
种类

歐元高收益債券

总资产

3.05B

费用

1.32%

开始日期

2006年6月30日

联络信息

地址 PB 1166 Sentrum
Luxembourg, L-2220
Luxembourg
电话 00352 43 39 50 1
传真 352 43 39 48
网址 www.nordea.lu

高管

名称 标题 任期
Torben Skødeberg - 2002 now
背景介紹 Torben co-founded Capital Four in July 2007. He previously worked for Nordea Investment Management, where he had day to day portfolio management responsibilities for some of Nordea’s High Yield / Hedge Fund portfolios and covered several industry sectors as a research analyst. Torben joined Nordea from SEB Asset Management, where he was Head of Risk Management. Prior to SEB, Torben worked at Nordea Group Treasury, where he developed credit risk models. He holds a MS in Mathematics and Economics from Copenhagen University and is a CFA Charterholder.
Sandro Naef - 2002 now
背景介紹 Sandro co-founded Capital Four in July 2007. He previously worked for Nordea Investment Management, where he was responsible for Nordea’s High Yield business (which he initiated in 1999) and Alternative Fixed Income Investments. He joined Nordea in 1999 from Credit Suisse. During his tenure with Credit Suisse he held positions in New York (f/k/a BEA Associates), London and Zürich in various roles in High Yield, Fixed Income and Corporate Finance. He holds an MBA in Finance from Carnegie Mellon University and a BS in Computer Science from ITR Rapperswil.
Mikkel Sckerl - 2013 2024
背景介紹 Mikkel Sckerl, born 1975, joined Capital Four Management from Saxo Bank in 2013. While at Saxo Bank Mikkel was initially responsible for the bank’s corporate finance and debt advisory business and subsequently for its loan origination. Prior to Saxo Bank Mikkel spent 8 years with Citibank, primarily based in London, where he as a Director and Senior Credit Officer held responsibility for a portfolio of the bank’s leveraged loan and stressed/distressed private debt in EMEA. Mikkel holds an MS in Finance & Economics from Warwick Business School & University of Warwick and an MS in Economics from University of Copenhagen.
René Kallestrup - 2012 2024
背景介紹 Rene, born 1980, joined Capital Four Management in February 2012 after finishing a PhD at the Central Bank of Denmark. In 2011 he did a PhD internship at PIMCO in London and Newport Beach, focusing on tail risk hedging of client portfolios. His previous experience includes tenure with the Central Bank of Iceland, where he worked alongside the International Monetary Fund (‘IMF’) and a position as a currency strategist with Danske Bank, Capital Markets. René holds a PhD in sovereign and bank credit risk from the Copenhagen Business School and a Master’s degree from Aarhus University.
Laust Johnsen - 2019 2022
背景介紹 Laust joined Capital Four Management during 2007 from Nordea Investment Management. During his tenure with Nordea, Laust has worked as a quantitative Analyst with responsibilities for various risk management and performance analysis tasks. Previously, Laust has worked with Nykredit Group Finance, where he has been reporting loan portfolio characteristics to rating agencies. He holds an MS in Economics from Copenhagen University.
Henrik Østergaard Pedersen Senior Member 2002 2019
背景介紹 Henrik co-founded Capital Four in July 2007. He previously worked for Nordea Investment Management, where he had day to day portfolio management responsibilities for some of Nordea’s High Yield / Hedge Fund portfolios and covered several industry sectors as a research analyst. He joined Nordea from Handelsbanken in 1999, where he held a position in Capital Markets Sales. From 1994 to 1997 he worked at Unibank Capital Markets (now Nordea). He holds an MS in Finance & Accounting from Copenhagen Business School and is a CFA charterholder.
评论指南

我们鼓励您使用评论,与用户沟通,共享您的观点并向作者及互相提问。 但是,为了获得有价值和期待的高水平评论,请注意以下标准:

  • 丰富对话
  • 保持关注及正确方向。 只发布与所讨论话题相关的材料。
  • 保持尊重。 即使是负面的意见,也可以用积极的外交辞令进行组织。
  • 用标准书写风格。 包括标点和大小写。
  • 注: 评论中如有垃圾和/或促销信息和链接都将被删除。
  • 避免亵渎、诽谤或人身攻击,对于作者或其他用户。
  • 仅允许中文评论。

垃圾邮件或滥发信息的肇事者都将被从网站删除并禁止以后进行注册,这由Investing.com自由决定。

0P000064AL评论

写出您对于 Nordea 1 - European High Yield Bond Fund AP EUR 的看法
 
确定删除此图表?
 
发布
 
用新图表更换现在所附的图表?
1000
由于有用户举报,您暂时无法发表评论。我们的编辑将对于您的状况进行审核。
请等待一分钟后再次发表评论
非常感谢您的评论!您的评论正在进行版主审核,可能需要一段时间才会发布在网站上。
 
确定删除此图表?
 
发布
 
用新图表更换现在所附的图表?
1000
由于有用户举报,您暂时无法发表评论。我们的编辑将对于您的状况进行审核。
请等待一分钟后再次发表评论
在评论中添加图表
确认屏蔽

确定屏蔽%USER_NAME%?

如果屏蔽,您和%USER_NAME%都无法看到相互在Investing.com上发布的信息。

%USER_NAME%已成功添加至屏蔽列表

由于您刚刚取消屏蔽此人,因此必须等待48小时才能重新屏蔽。

举报该评论

您举报该评论的原因为:

该评论已被标注

谢谢您!

您的举报将会被发送到管理员进行审核