High Yield select 3 SEK DIST
Focuses exclusively on high-yield corporate bonds, which have a slightly higher risk level and therefore a somewhat higher yield.
About the fund
Carnegie High Yield Select is an actively managed fixed income fund that invests in a well-diversified portfolio of high-yield Nordic corporate bonds. The fund focuses on company analysis and credit risk, while interest rate risk is kept low.
The investments are never made in a specific sector, country or currency and the analysis always starts with, and selects, companies that the portfolio managers want to invest in; companies that they have confidence in for the long term.
The average term to maturity of the Carnegie High Yield portfolio is 3-5 years, by may periodically be longer or shorter. The fund is traded on a daily basis and unit holders are not locked in. In order to always offer good liquidity, parts of the fund are invested in highly liquid assets. All holdings in foreign currencies are hedged against Swedish kronor so that unitholders avoid any currency risk.
Fund manager
Niklas Edman
Employed since 2013 and has worked in the industry since 2007.
PORTFOLIO MANAGER
Carnegie Corporate Bond, Carnegie High Yield Select, Carnegie High Yield and Carnegie Strategifond.
EDUCATION
MSc in Business Administration from Stockholm School of Economics.
WORK EXPERIENCE
Corporate Finance – Carnegie Investment Bank
Portfolio manager – Armada Mezzanine Capital
Fund manager
Daniel Gustafsson
Manages Carnegie High Yield Select.
EXPERIENCE
Portfolio Manager, Carnegie Fonder
Private Client Specialist, Carnegie Fonder
EDUCATION
BSc in Business Administration, Stockholm University
Documents
sustainability-related disclosures
The information below is presented in compliance with EU Regulation 2019/2088 Sustainable Finance Disclosure Regulation (SFDR).