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DNB Miljøinvest A(0P00000MW4)

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1,525.506 -2.880    -0.19%
25/04 - 關閉. NOK 貨幣 ( 免責聲明 )
種類:  基金
市場:  挪威
發行者:  DNB Asset Management AS
國際證券識別碼(ISIN):  NO0010102890 
資產類別:  股票
  • 晨星評級:
  • 總資產: 5.9B
DNB Miljøinvest 1,525.506 -2.880 -0.19%

0P00000MW4綜觀

 
你可在本頁找到深入的DNB Miljøinvest A公司檔案,包括0P00000MW4的主要管理層、總資產、投資策略及聯絡資料,以及各類其他資訊。
類別

Sector Equity Alternative Energy

總資產

5.9B

費用

1.42%

基金成立

1989年11月6日

聯絡資訊

地址 Dronning Eufemias gate 30
Oslo, 0091
Norway
電話 +47 81521111
網絡 www.dnb.no

主要管理層

名稱 主旨 成立於 直至
Stian Melhus Ueland - 2021 now
自傳 Stian Ueland has over the last 5 years worked for Norges Bank Investment Management (NBIM) in London where he completed their 3 year trainee program in 2018. Since 2019 he has been an Associate Portfolio Manager with full responsibility for managing a global active equity portfolio within the materials and chemicals sectors. He has a solid academic background with a PhD from MIT in Boston in Materials Science and Engineering, an MSc in Finance from London Business School. He is also a CFA Chartholder.
Laura McTavish - 2021 now
自傳 Laura McTavish joined DNB in 2018 as an analyst with the Responsible Investments (RI) team, before joining the Environmental investments team as an analyst in January 2021. Previously, Laura spent just short of 2 years with Trucost (part of S&P Global) as a research analyst, conducting portfolio carbon footprinting and bespoke project work for financial institutions. Laura holds an MSc in Carbon Finance from the University of Edinburgh and a BA (Hons) in Business with Economics from Glasgow Caledonian University.
Christian Rom - 2011 now
自傳 Christian Room is co-portfolio manager for our absolute return (long / short) funds and equity investments in renewable energy strategies. Mr. Rom joined DNB Asset Management in 2010 from Carnegie Securities where he was an equity analyst for 3.5 years. He received his Master in Business and Economics from the Norwegian School of Management (BI) in Norway and speaks both English and Norwegian.
Jon Sigurdsen - 2007 2020
自傳 Jon Sigurdsen is lead portfolio manager for long only and absolute return renewable energy strategies with DNB Asset Management. Mr. Sigurdsen joined the technology team at DNB Asset Management in 2005 from Carnegie Securities where he was an equity analyst. He was appointed co-manager for the Renewable Energy strategy in 2007. Between 1998 and 2004 Mr. Sigurdsen was an equity analyst at Nordea Securities in Oslo, specializing in the IT, Telecom and Media sectors. He received his BA in Business from the Liverpool John Moores University and speaks Norwegian and English.
Per Henrik Græsberg - 2007 2011
自傳 Per-Henrik Græsberg er porteføljeforvalter for globale aksjer innenfor fornybar energi. Han startet i selskapet i 1990 og har jobbet med nordiske og internasjonale aksjer. Græsberg etablerte forsikringsselskapet Liv Kasko i 1987, som senere ble kjøpt opp av Vital. Fra 1986 til 1987 var han adm. direktor for Elcon Investment. Tidligere jobbet han for Fellesbanken. I løpet av perioden han jobbet i Fellesbanken, 1980 ¿ 1986, startet han og var fra 1983 adm. direktør for deres kapitalforvaltningsselskap Norsk Sparinvest. Græsberg startet sin karriere i 1977 på Universitetet i Karlstad hvor han underviste i statistikk. Han har en BA i økonomi, bedriftsøkonomi og statistikk, samt studier i oppvarmingsteknologi fra Universitetet i Göteborg.
Tor Vinje - 2006 2007
Audun Wickstrand Iversen - 2006 2007
Einar Johansen - 2006 2006
自傳 Einar Johansen (born 1978) is Portfolio Manager for Carlson Fund - Europe. Mr. Johansen joined the firm in 2001 and is a portfolio manager within global equities with a focus on Europe and quantitative models. He is also involved with the risk management. Mr. Johansen holds a MSc in Economics and Business Administration with a specialisation in finance from the Norwegian School of Economics and Business Administration. He speaks Norwegian and English and is located in Oslo, Norway. Filip Boman (born 1968) is Portfolio Manager for Global Equities. He joined the group in 1996 as an analyst responsible for American equities and became Portfolio Manager in 2001. Previously, Mr. Boman worked for Ericsson and has two years experience from the insurance business. Mr. Boman holds a BA in Business Administration from Wittenberg University, Ohio as well as the degree Chartered Financial Analyst (CFA).
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