Profil
Anders Augusén worked as a Portfolio Manager at Nektar Asset Management AB from 2014 to 2019.
Tidigare kända positioner av Anders Augusén
| Företag | Position | Slut |
|---|---|---|
Nektar Asset Management AB
Nektar Asset Management AB Investment ManagersFinance Nektar is an alternative asset manager focused on absolute returns. The firm follows market-neutral and directional strategies. They invest in long equity positions, targeting companies with attractive earnings in G8 countries and focusing on Nordic countries. Nektar invests a significant proportion of their assets in bonds, swaps, spread, options and derivatives. Historically the firm has also invested in US equity and Asian tracker funds. Their portfolio is diversified, uncorrelated and at times largely constituted of cash instruments. In-house research is both qualitative and quantitative. The firm concentrates their activity in markets where they hold comparative advantages in terms of investment intelligence gathering and analysis. Their investment approach focuses on unique risk and is essentially quantitative. | Portföljförvaltare-Aktier | 2019-08-01 |
Erfarenheter
Innehade positioner
Aktiva
Inaktiva
Börsnoterade företag
Privata företag
Relationer
Första gradens relationer
Företag kopplade till första graden
Man
Kvinna
Styrelseledamöter
Chefer
Kopplade företag
| Privata företag | 1 |
|---|---|
Nektar Asset Management AB
Nektar Asset Management AB Investment ManagersFinance Nektar is an alternative asset manager focused on absolute returns. The firm follows market-neutral and directional strategies. They invest in long equity positions, targeting companies with attractive earnings in G8 countries and focusing on Nordic countries. Nektar invests a significant proportion of their assets in bonds, swaps, spread, options and derivatives. Historically the firm has also invested in US equity and Asian tracker funds. Their portfolio is diversified, uncorrelated and at times largely constituted of cash instruments. In-house research is both qualitative and quantitative. The firm concentrates their activity in markets where they hold comparative advantages in terms of investment intelligence gathering and analysis. Their investment approach focuses on unique risk and is essentially quantitative. | Finance |
















