Nordea 1 - Stable Return BP EUR
Verwaltet von
Asbjørn Trolle Hansen
Asbjørn Trolle Hansen is Head of the Asset Allocation Team at Nordea Investment Management. Hansen joined Nordea in 2004, after having held positions at Alfred Berg, Dresdner Kleinwort Benson and NatWest. He co-manages the Nordea 1 – Stable Return fund alongside Claus Vorm and is also lead manager on the Nordea 1- Multi Asset Plus fund. Hansen has not changed his bottom-up, fundamental investment style during his tenure on the funds, although he says that he has introduced new strategies to adapt to changes in the markets. He attended both the University of Aarhus and the London School of Economics, and holds a PhD in Mathematical Finance.
Kurt Kongsted
Kurt Kongsted holds a Master’s Degree in Economics from the University of Aarhus. Mr. Kongsted joined Nordea Investment Management AB in 2002 as an analyst within the current Multi Assets team. He has been responsible for the development of Nordea Investment Management’s proprietary Asset Liability Management tools and Strategic Asset Allocation models. Since 2005 he has been a co-portfolio manager of the Stable Return Fund range of products. In 2010 Mr. Kongsted was also appointed Head of Strategic Asset Allocation.
Claus Vorm
Claus Vorm was born in Denmark in 1971. He graduated from the University of Aarhus with a master's degree in mathematics and economics and a PhD on the interplay between insurance and finance. Claus started his career in 2000 as an associate professor at the Laboratory of Actuarial Mathematics at Copenhagen University. In 2001 he joined McKinsey & Co as part of their financial institution group. Claus joined Nordea Investment Management in 2004 where he is currently a fund manager. He has been managing funds for over five years and is a member of the Danish Actuarial Society. Outside of fund management he enjoys golf and running.
Anlageziel
The fund aims to preserve shareholders' capital (over a three year investment horizon) and provide a stable, positive rate of return on investment. Investments are made globally in equities, bonds (including bonds convertible in equity shares) and money market instruments denominated in various currencies. This sub-fund may also invest in financial derivative instruments - like equity and fixed income futures - to adjust the portfolio's beta and duration.
Performance
-
Rangfolge 44/52 Gesamtertrag
-
Rangfolge 26/52 Standardabweichung
-
Rangfolge 29/52 Maximaler Verlust
Fondsname | Currency | Rendite | |
---|---|---|---|
42 | Do Absolute Return A | EUR | -2,4% |
43 | Ruffer Sicav-Ruffer TR International-C-EUR-Cap | EUR | -2,6% |
44 | SKALIS Evolution Defensive AK R | EUR | -2,7% |
44 | Nordea 1 - Stable Return BP EUR | EUR | -2,7% |
46 | PARIUM - Relaxed Fund P | EUR | -2,8% |
Die gesamte Rangliste zeigen |
Fondsname | Currency | Risiko | |
---|---|---|---|
24 | Boussard & Gavaudan Sicav Absolute Return R EUR C | EUR | 3,1 |
25 | PARIUM - Relaxed Fund P | EUR | 3,1 |
26 | Nordea 1 - Stable Return BP EUR | EUR | 3,2 |
27 | Baring Euro Dynamic Asset Allocation A EUR Acc | EUR | 3,3 |
28 | WAVE Total Return Fonds Dynamic R | EUR | 3,4 |
Die gesamte Rangliste zeigen |
Fondsname | Currency | Verlust | |
---|---|---|---|
27 | ESPA PORTFOLIO BALANCED 50 A | EUR | -3,3% |
28 | Amundi Fds Global Perspectives - AE (C) | EUR | -3,3% |
29 | Nordea 1 - Stable Return BP EUR | EUR | -3,5% |
30 | DJE - Zins & Dividende I | EUR | -3,6% |
31 | Putnam Total Return M EUR | EUR | -3,8% |
Die gesamte Rangliste zeigen |
Gesamtertrag
Auf das Jahr Quartalsperformance
bis 31.03.2018 | Jährlich | Q1 | Q2 | Q3 | Q4 |
---|---|---|---|---|---|
2018 | -2,5% | ||||
2017 | 2,6% | 2,8% | -0,1% | -0,9% | 0,8% |
2016 | 3,0% | 4,7% | 1,3% | -0,2% | -2,7% |
2015 | 2,6% | 3,8% | -2,7% | -0,2% | 1,8% |
2014 | 10,7% | 1,7% | 2,9% | 2,9% | 2,8% |
2013 | 7,1% | 3,8% | 0,2% | 1,1% | 1,9% |
2012 | 6,6% | 3,4% | -0,7% | 3,7% | 0,2% |
2011 | 5,9% | 0,1% | 2,2% | -0,8% | 4,3% |
2010 | 1,6% | 0,6% | -3,0% | 3,9% | 0,2% |
2009 | 16,0% | -2,7% | 6,9% | 6,1% | 5,1% |
2008 | -9,7% | -5,0% | 0,0% | -1,4% | -3,7% |
2007 | 0,0% | 0,6% | 0,6% | 0,3% | -1,4% |
2006 | 7,4% | 1,3% | -1,3% | 3,5% | 3,8% |
Monatliche Performance
Rendite vs Risiko
Zum Verkauf zugelassen in
- Österreich
- Belgien
- Dänemark
- Estland
- Finnland
- Frankreich
- Deutschland
- Italien
- Lettland
- Litauen
- Luxemburg
- Niederlande
- Polen
- Singapur
- Spanien
- Schweden
- Schweiz
- Vereinigtes Königreich
Information über den Fonds
- Starttermin02.11.2005
- Größe der Anteilsklasse6.023Mn
- BasiswährungEUR
-
ISIN LU0227384020
Kaufinformation
- Mindestanlage (initial)0
- Mindest regelmäßige Zusatzinvestition0
Gebühren
- Jährliche Verwaltungsgebühr1,50%