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Name | Title | Since | Until |
---|---|---|---|
Erling Syversveen Lie | - | 2023 | Now |
Eivind Grøver Aukrust | - | 2022 | Now |
Erik Chr. Hannestad | - | 2021 | Now |
Eirik Torbjørn Hauge | - | 2019 | 2021 |
Biography | Eirik T. Hauge is Head of Quantitative Equity Strategies and Equity Trading. He started in DNB Asset Management as an equity and derivatives trader in 2006 and moved on to be a portfolio manager in 2007. He has experience from ABN AMRO and Handelsbanken as a derivative market maker. He started his career at Oslo Børs in 1993 as a derivatives floor trader. Eirik holds a BA in Business from The Norwegian School of Management (BI) and a Master of Science in Accounting and Finance from London School of Economics. He has also taken courses in Statistics and Finance at the University of Bergen. | ||
Alina Dobrica | - | 2018 | 2019 |
Biography | Alina Dobrica started her career in finance at DNB Asset Management in 2017 as an Equity trader and assistant portfolio manager within the index strategies group. In August 2018 she assumed responsibility for the DNB USA portfolio coinciding with it moving out of active into a passive mandate. Prior to this, Alina worked at Deloitte for two years within the financial audit department with additional exposure to consulting projects within credit risk. Alina graduated from BI Norwegian Business School in 2015 and obtained a Master’s degree in Financial Economics with a primary focus on quantitative finance. | ||
Mathilde Norby Jensen | - | 2018 | 2018 |
Biography | Mathilde Nordby Jensen started at DNB Asset Management in 2016 as an Equity trader and assistant portfolio manager for the passive investment funds. In August 2018 she assumed responsibility for the DNB Europa portfolio coinciding with it moving out of active into a passive mandate. Mathilde graduated Summa Cum Laude from Westminster College with an Bachelor of Science in Finance in December 2015. | ||
Morten Gustavsen | - | 2016 | 2018 |
Biography | Morten Bunes Gustavsen works as an equity trader and risk analyst on the global dealing desk. He started in DNB Asset Management in 2007 as an analyst and portfolio manager in Global Equities, working with quantitative strategies. He started his career in 2001 as an analyst and portfolio manager at energy division in Norsk Hydro, there he worked mostly with structured energy products. He has an M.Sc in Applied Mathematics from NTNU, specialising in statistics and numerical methods. | ||
Rune Kaland | Portfolio Manager | 2015 | 2016 |
Biography | Rune Kaland (born 1961) is Portfolio Manager responsible for our DNB Global Equity funds, including our DNB Navigator equity fund, investing in the global oil service and shipping sector. He joined the firm in 2001 as a Norwegian equity portfolio manager. Prior to joining the company he was a research analyst at Alfred Berg from 1994 where he became Head of Equity Research in 1995. Between 1990 and 1994 he was the Chief Economist and equity analyst at Oslo Securities. He started his career as an equity analyst at Invest Securities in 1986. Mr. Kaland holds a MSc in Economics and Business Administration from BI Norwegian School of Management and an AFA designation. Mr. Kaland speaks Norwegian and English and is located in Oslo, Norway. | ||
Widar Kirkeby | - | 2011 | 2015 |
Biography | Widar Kirkeby er leder for the globale aksje teamet og forvalter globale aksjer. Han startet i konsernet i 1994 som porteføljeforvalter for norske aksjer og gikk senere over som forvalter av DNB Navigator hvor han var ansvarlig for shipping sektoren. Før 1994 jobbet Widar som derivatmegler hos Pre Fond og Carnegie. Han begynte sin karriere som renteforvalter for Finansbanken i 1987. Kirkeby er siviløkonom fra Norges Handelshøyskole i Bergen (NHH). | ||
Einar Johansen | - | 2008 | 2015 |
Biography | 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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