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Risk information Past performance is no guarantee for future performance. Fund units may go up or down in value and investors may not get back the amount invested.

strategifond H

Want to have a solid foundation in your long-term savings?

About the fund

Carnegie Strategifond is an actively managed mixed fund that invests in Nordic equities and high-yield corporate bonds. The strategic allocation is approximately 60 percent equities and 40 percent credits, but the allocation may vary over time depending on the managers’ market outlook.

The fund has a lower risk profile than a typical equity fund and at the same time greater opportunities than a regular fixed-income fund. Unlike traditional mixed funds, Carnegie Strategifond is focused which means the number of equity and credit holdings are limited. There is only room for our best investment ideas.


THIS IS A FUND FOR YOU WHO:

  • Want to invest in Nordic companies with low valuations and good cash flows.
  • Want to have a solid foundation in your long-term savings.
  • Are looking for a fund that invests in both equities and corporate bonds.

Fund manager

John Strömgren

Manages Carnegie Strategifond since 1996.
 
EXPERIENCE
Portfolio Manager, Carnegie Fonder 2010 –
Portfolio Manager, HQ Fonder 1996–2010.
 
EDUCATION
CEFA, Stockholm School of Economics.

Fund manager

Simon Blecher

Chief Investment Officer and Portfolio Manager of Carnegie Sverigefond since 2006, Carnegie Spin-Off since 2019, and Carnegie Strategifond since 2023.
 
EXPERIENCE
CIO, Carnegie Fonder, 2021 –
Portfolio Manager, Carnegie Fonder, 2006 –
Portfolio Manager, HQ Fonder 2006–2010.
Stock Market Columnist, Dagens Nyheter 2005–2006.
Financial Journalist, Affärsvärlden 2000–2006.
 
EDUCATION
BSc in Business Administration, Stockholm University.

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.

Compare with
  1. Past performance is not a reliable indication of future performance, as markets may develop completely differently in the future. The information may help you assess how the fund has been managed in the past.
  2. This unit class was launched 2018-04-13.

sustainability-related disclosures

The information below is presented in compliance with EU Regulation 2019/2088 Sustainable Finance Disclosure Regulation (SFDR).