21 Jun '18 · 09m:28s
Entrevistas Value: Frederik Bjelland · Skagen Funds
Frederik Bjelland is portfolio manager of the emerging markets equity fund Skagen Kon-Tiki. Prior to joining SKAGEN he was based in Shanghai, as Head of China Special Mandate, at Norges Bank Investment Management (the oil-fund), where he also previously held positions as a portfolio manager and a generalist global equity research analyst. Prior to this, he spent six years working at Morgan Stanley in London as an equity research analyst and at PWC as a strategy consultant. Fredrik has a Masters of Engineering degree from the University of Durham and has been a CFA charter holder since 2008.
Skagen is an independent boutique fund manager as part of Storebrand Group, focused on long only value equity and fixed income investments. Established in 1993 in Stavanger, Norway it has grown to be Scandinavia´s largest and very successful asset manager with €8bn in AuM. Skagen´s goal is to prove clients with best risk-adjusted returns by pursuing a value-driven, bottom-up, active and long term approach. The ideal investment is Undervalued, Under-researched and Unpopular with potential triggers to unlock the hidden value.
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