Profil
Ulrika Linden worked as an Interest Rate Analyst & Sustainability Analyst at E.
Öhman J :or Fonder AB from 2017 to 2019.
She then worked as the Head of Fixed Income at Swedbank Robur Fonder AB from 2019 to 2022.
Prior to that, she worked as a Portfolio Manager at Swedbank Robur Fonder AB from 2001 to 2011.
Ms. Linden also worked as a Senior Portfolio Manager at DNB Asset Management AS (Sweden).
Tidigare kända positioner av Ulrika Linden
| Företag | Position | Slut |
|---|---|---|
Swedbank Robur Fonder AB
Swedbank Robur Fonder AB Investment ManagersFinance Swedbank Robur aims to create sustainable, long-term return for their investors, while also contributing to the development of society and the environment. All their funds have a strict sustainability overlay where all managers use the firm’s proprietary ESG platform, RobuS, which uses both external and internal analysis to share and evaluate sustainability data. The firm actively selects companies based on fundamental and quantitative analysis. | Head-Fixed Income Invts | 2022-10-01 |
E. Öhman J :or Fonder AB
E. Öhman J :or Fonder AB Investment ManagersFinance Lannebo is an active manager that focuses on active management, specializes in equities, corporate bonds, and fixed income. | Analytiker-Fasta Inkomster | 2019-02-01 |
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. | Portfolio Manager-Fixed Income | 2016-01-01 |
Swedbank Robur Fonder AB
Swedbank Robur Fonder AB Investment ManagersFinance Swedbank Robur aims to create sustainable, long-term return for their investors, while also contributing to the development of society and the environment. All their funds have a strict sustainability overlay where all managers use the firm’s proprietary ESG platform, RobuS, which uses both external and internal analysis to share and evaluate sustainability data. The firm actively selects companies based on fundamental and quantitative analysis. | Portfolio Manager-Fixed Income | 2011-09-01 |
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Kopplade företag
| Privata företag | 3 |
|---|---|
E. Öhman J :or Fonder AB
E. Öhman J :or Fonder AB Investment ManagersFinance Lannebo is an active manager that focuses on active management, specializes in equities, corporate bonds, and fixed income. | Finance |
Swedbank Robur Fonder AB
Swedbank Robur Fonder AB Investment ManagersFinance Swedbank Robur aims to create sustainable, long-term return for their investors, while also contributing to the development of society and the environment. All their funds have a strict sustainability overlay where all managers use the firm’s proprietary ESG platform, RobuS, which uses both external and internal analysis to share and evaluate sustainability data. The firm actively selects companies based on fundamental and quantitative analysis. | 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 |
















