Per Colleen
Förmögenhet: 562 653 $ per 2026-05-31
Förmögenhet: 562 653 $ per 2026-05-31
Per Colleen is currently Chief Executive Officer at TomEnterprise AB and TomEqt Private AB. Mr. Colleen is Chairman at Gruvaktiebolaget Viscaria since 2023.
Mr. Colleen is Managing Director at TomEqt AB and KinKon AB. Mr. Colleen is Director at Qvantum Industries AB, Hammar Maskin AB, and Optio Investment Partners AB. Formerly, Mr. Colleen was Head of Equity at SEB Funds AB in 2013.
From 2017 to 2021, Mr. Colleen was Head of Fundamental Equities at Fjärde AP-fonden.
From 2003 to 2006, Mr. Colleen was Portfolio Manager at Tredje AP-fonden.
From 2008 to 2011, Mr. Colleen was Head of Swedish Equity at DNB Asset Management AS (Sweden).
Mr. Colleen graduated from the University of Lund.
| Företag | Datum | Antal aktier | Värdering | Värderingsdatum |
|---|---|---|---|---|
| 2024-12-31 | 317 939 ( 0,13 % ) | 562 653 $ | 2026-05-31 |
| Företag | Position | Start |
|---|---|---|
| GRUVAKTIEBOLAGET VISCARIA | Ordförande | 2023-09-04 |
TomEnterprise AB
TomEnterprise AB Financial ConglomeratesFinance Operates as an investment company | Verkställande Direktör | - |
TomEqt AB
TomEqt AB Investment Banks/BrokersFinance Owns and manages shares | Verkställande Direktör | - |
KinKon AB | Verkställande Direktör | - |
TomEqt Private AB
TomEqt Private AB Financial ConglomeratesFinance Provides investment services | Verkställande Direktör | - |
Hammar Maskin AB
Hammar Maskin AB Trucks/Construction/Farm MachineryProducer Manufacturing Manufactures trailer-mounted lifting equipment for container handling and heavy load applications | Direktör/Styrelseledamot | - |
| Företag | Position | Slut |
|---|---|---|
Fjärde AP-fonden
Fjärde AP-fonden Investment ManagersFinance AP4 aims to manage part of the pension system's buffer capital. Their managed capital includes several types of assets such as listed shares, both global and Swedish, which make up more than half of the assets. The firm also invests in Swedish and global interest-bearing investments and real assets. They invest with a very long-time perspective. | Verkställande Direktör | 2016-09-01 |
SEB Investment Management AB
SEB Investment Management AB Investment ManagersFinance SEB Funds aims to develop their capabilities by technology driven innovation and a sustainable approach to investments. The firm’s equity management is characterized by in-depth fundamental analysis combined with sophisticated and modern methods. The investment teams uses both traditional stock picking processes and quantitative processes for their various products but shares common investment beliefs and core values. SEB IM’s fixed income management is characterized by fundamental macro and credit analysis supported by solid quantitative analysis. For multi management, the investment process is fundamentally based on continuous market analysis and extensive experience. However, quantitative supporting tools are a natural part of the investment process in the screening process, analysis process and portfolio construction. | Portföljförvaltare-Aktier | 2013-10-01 |
DNB Asset Management AS (Sweden)
DNB Asset Management AS (Sweden) Investment ManagersFinance DNBAM is a GARP-oriented and at times contrarian investment manager using both active and passive investment processes. They invest globally in a variety of asset classes including equity, debt, money market instruments, commodities and alternative investments. They invest across market-caps and sectors, with the bulk of their assets in Swedish large-cap equity. Research is shared with fellow asset management subsidiaries, in particular through a global program of company visits. Tactical asset allocation is based on a proprietary scenario-generating model developed jointly with academics. The firm's investment approach for fixed-income and money market instruments takes into accounts both short-term trends and long-term strategy. Index funds are geared towards maximum cost effectiveness. Actively managed portfolios are diversified, uncorrelated and favor liquid markets. The firm uses disciplined review and exit processes including stop-losses. Their equity investment process is top-down and consists in stock picking informed by market trend analysis and a macro-economic view. The firm seeks to identify turning points in the evolution of key indicators. They manage diversified and uncorrelated equity portfolios and aim to invest in companies outperforming their peers on a global level. Their alternative portfolios are invested in equity following a long/short strategy. | Chef-Ekonomiska Investeringar | 2011-09-01 |
| ░░░░░░ ░░░░░░░░░ | ░░░░░░░░░░░░░░░░░░░░░░░░░░░ | ░░░░░░░░░░ |
Aktiva
Inaktiva
Börsnoterade företag
Privata företag
Första gradens relationer
Företag kopplade till första graden
Man
Kvinna
Styrelseledamöter
Chefer
| Privata företag | 11 |
|---|---|
Gruvaktiebolaget Viscaria
Gruvaktiebolaget Viscaria Other Metals/MineralsNon-Energy Minerals Operates as mining company that engages in copper projects | Non-Energy Minerals |
SEB Investment Management AB
SEB Investment Management AB Investment ManagersFinance SEB Funds aims to develop their capabilities by technology driven innovation and a sustainable approach to investments. The firm’s equity management is characterized by in-depth fundamental analysis combined with sophisticated and modern methods. The investment teams uses both traditional stock picking processes and quantitative processes for their various products but shares common investment beliefs and core values. SEB IM’s fixed income management is characterized by fundamental macro and credit analysis supported by solid quantitative analysis. For multi management, the investment process is fundamentally based on continuous market analysis and extensive experience. However, quantitative supporting tools are a natural part of the investment process in the screening process, analysis process and portfolio construction. | Finance |
Fjärde AP-fonden
Fjärde AP-fonden Investment ManagersFinance AP4 aims to manage part of the pension system's buffer capital. Their managed capital includes several types of assets such as listed shares, both global and Swedish, which make up more than half of the assets. The firm also invests in Swedish and global interest-bearing investments and real assets. They invest with a very long-time perspective. | Finance |
Tredje AP-fonden
Tredje AP-fonden Investment ManagersFinance AP3 is an active, risk-averse, long-term manager which manages a diversified global portfolio that allocates assets across six risk categories: Equities, Fixed Income, Credits, Inflation, Currencies and Absolute Return Strategies. By investing in both listed and unlisted assets locally and globally, the firm has crafted a diversified portfolio that is more robust in periods of financial uncertainty. AP3 combines their investment decisions with a long, medium and short-term investment horizon yields high risk-adjusted returns, thus increasing the probability of achieving return targets. Their investment strategy is geared to achieving the annual target return of 4% in the long term. The firm also uses structured methods to change the composition of the portfolio by adjusting levels of risk to reflect prevailing market conditions. | Finance |
DNB Asset Management AS (Sweden)
DNB Asset Management AS (Sweden) Investment ManagersFinance DNBAM is a GARP-oriented and at times contrarian investment manager using both active and passive investment processes. They invest globally in a variety of asset classes including equity, debt, money market instruments, commodities and alternative investments. They invest across market-caps and sectors, with the bulk of their assets in Swedish large-cap equity. Research is shared with fellow asset management subsidiaries, in particular through a global program of company visits. Tactical asset allocation is based on a proprietary scenario-generating model developed jointly with academics. The firm's investment approach for fixed-income and money market instruments takes into accounts both short-term trends and long-term strategy. Index funds are geared towards maximum cost effectiveness. Actively managed portfolios are diversified, uncorrelated and favor liquid markets. The firm uses disciplined review and exit processes including stop-losses. Their equity investment process is top-down and consists in stock picking informed by market trend analysis and a macro-economic view. The firm seeks to identify turning points in the evolution of key indicators. They manage diversified and uncorrelated equity portfolios and aim to invest in companies outperforming their peers on a global level. Their alternative portfolios are invested in equity following a long/short strategy. | Finance |
University of Lund
University of Lund Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Hammar Maskin AB
Hammar Maskin AB Trucks/Construction/Farm MachineryProducer Manufacturing Manufactures trailer-mounted lifting equipment for container handling and heavy load applications | Producer Manufacturing |
TomEnterprise AB
TomEnterprise AB Financial ConglomeratesFinance Operates as an investment company | Finance |
TomEqt AB
TomEqt AB Investment Banks/BrokersFinance Owns and manages shares | Finance |
KinKon AB | |
TomEqt Private AB
TomEqt Private AB Financial ConglomeratesFinance Provides investment services | Finance |
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