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"We would like to thank Martin for his dedication to SKAGEN throughout so much of the company's journey. He has overseen the development of SKAGEN from a local fund provider in Norway to a European fund management company," says Leif Ola Rød, CEO of SKAGEN.

"We now welcome the appointment of Henrik Lisaeth and look forward to his contribution to ensuring the delivery of investment performance and service excellence to our clients while attracting and retaining the best investment and management talent."

Henrik Lisaeth has many years of experience from the financial sector and is currently an Advisor to FSN Capital after being a Partner of FSN Capital since 2000. Prior to this, Lisaeth held various positions at Morgan Stanley and The Boston Consulting Group. He has extensive board and chairmanship experience and is currently a board member at Validus/Vita. Read full CV.

"I am looking forward to working with SKAGEN in my role as Chairman of the Board. SKAGEN is an impressive fund management company with a strong culture that has delivered outstanding results to its clients over time.

The Board is committed to ensuring that SKAGEN is able to deliver the best possible risk adjusted returns to its clients in the future. We will contribute to positioning SKAGEN as a leader within active fund management and will cooperate closely with SKAGEN's employees, the management group and the owners," says Henrik Lisaeth.

SKAGEN's Board of Directors is currently made up of six members.

Les rendements historiques ne constituent pas une garantie pour les rendements futurs. Les rendements futurs dépendront, entre autres, de l'évolution du marché, des compétences du gestionnaire du fonds, du profil de risque du fonds et des frais de gestion. Le rendement peut devenir négatif en raison de l'évolution négative des prix. L'investissement dans les fonds comporte des risques liés aux mouvements du marché, à l'évolution des devises, aux niveaux des taux d'intérêt, aux conditions économiques, sectorielles et spécifiques à l'entreprise. Les fonds sont libellés en NOK. Les rendements peuvent augmenter ou diminuer en raison des fluctuations des devises. Avant d'effectuer une souscription, nous vous encourageons à lire le prospectus du fonds et le document d'information clé pour l'investisseur qui contiennent des détails supplémentaires sur les caractéristiques et les coûts du fonds. Ces informations sont disponibles sur le site www.skagenfunds.fr. Storebrand Asset Management administre les fonds SKAGEN qui sont, par convention, gérés par les gestionnaires de portefeuille de SKAGEN.

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