CORPORATE bOND 1 NOK
Are you interested in an interest saving with a little higher risk, but at the same time greater potential for returns?

About the fund
Carnegie Corporate Bond is an actively managed fixed income fund that invests in a well-diversified portfolio of Nordic corporate bonds, spanning both Investment Grade and High Yield segments, with an average credit rating of Investment Grade. The fund emphasizes company analysis and credit risk, while interest rate risk is kept to a minimum.
All holdings in foreign currency are hedged against the Swedish krona to avoid currency risk for the unit holders.

Fund manager
Maria Andersson
Manages Carnegie Corporate Bond since 2016.
EXPERIENCE
Portfolio Manager, Carnegie Fonder 2016 –
Credit Analyst, Carnegie Investment Bank 2014–2016.
Credit Analyst, Swedbank Markets 2013–2014.
Assistant Client Manager, Swedbank Large Corporates 2011–2013.
Corporate Advisor, Swedbank Retail 2006–2011.
EDUCATION
BSc in Economics, University of Gothenburg.

Fund manager
Niklas Edman
Manages Carnegie Corporate Bond since 2013, Carnegie High Yield Select since 2017, Carnegie High Yield since 2021, and Carnegie Strategifond since 2023.
EXPERIENCE
Portfolio Manager, Carnegie Fonder 2013 –
Investment Manager, Armada Mezzanine 2010–2013.
Analyst Corporate Finance, Carnegie Investment Bank 2008–2010.
EDUCATION
MSc in Business Administration, Stockholm School of Economics.
Documents

THIS IS A FUND FOR YOU WHO:
- Want a supplement a traditional fixed income saving with corporate bonds
- Want a balanced portfolio with geographic diversification
- Wish to finance Nordic companies
sustainability-related disclosures
The information below is presented in compliance with EU Regulation 2019/2088 Sustainable Finance Disclosure Regulation (SFDR).


