Nordea 1 - European High Yield Bond Fund BC GBP

Register to Unlock Ratings
Management
DomicileLuxembourg
Legal StructureSICAV
UCITSYes
Inception Date05/03/2013
Fund Advisor(s)
Nordea Investment Management AB
Fund ManagerTorben Skødeberg
Manager Start Date18/01/2002
Career Start Year2001
 
Biography
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.
Fund ManagerSandro Naef
Manager Start Date18/01/2002
Career Start Year1999
 
Biography
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.
Fund ManagerRené Kallestrup
Manager Start Date01/02/2012
 
Biography
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.
Fund ManagerMikkel Sckerl
Manager Start Date01/07/2013
 
Biography
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.
Advertisement
In order to provide consistency across the report data provided by different Asset Managers, the calculated data points presented are generated using Morningstar’s proprietary calculation methodology which is set out in more detail at(https://www.morningstar.com/research/signature)
© Copyright 2024 Morningstar, Inc. All rights reserved.

Terms of Use        Privacy Policy        Modern Slavery Statement        Cookie Settings        Disclosures