Jan Sørensen is based in Copenhagen and is Senior Portfolio Manager at Nordea Investment Management. He has been with the firm since 2009 and manages the Euro Diversified Corporate Bond Fund among others, using the fundamental bottom-up investment style. Formerly, he had been at Danske Capital since 2000 as Chief Portfolio Manager. Jan graduated from Copenhagen Business School where he studied for a Graduate Diploma in Business Administration and outside of work he enjoys tennis, skiing and shooting.
The Subfunds objective is to preserve the Shareholders capital and to provide a return exceeding the average return of the European corporate bond market. The Subfund aims to achieve its objectives by investing directly into securities or indirectly via the use of Derivatives. The Subfund invests a minimum of two-thirds of its Total Assets in Euro denominated corporate bonds and credit default swaps where the underlying credit risk is linked to Euro denominated corporate bonds. The Subfund may invest up to 20% of its Total Assets in assetbacked securities.
- United Kingdom