Profil
Mr. Carsten Dehn was a Portfolio Manager at Lannebo Fonder AB. He has over 25 years of experience as fund manager and analyst.
Mr. Dehn was previously employed as Head of Investments by SEB Asset Management Bank A/S and Chief Portfolio Manager by Skandinaviska Enskilda Banken AB. He started his career in 1989 as an Equity Analyst at Danske Securities, before joining Baltica Securities in 1991 in the same role.
In 1993 he became the Head of Research at Alfred Berg Copenhagen.
Mr. Dehn attended the Copenhagen Business School where he obtained a Master's degree in Finance.
Anciens postes connus de Carsten Dehn
| Sociétés | Poste | Fin |
|---|---|---|
Lannebo Fonder AB (Denmark)
Lannebo Fonder AB (Denmark) Investment ManagersFinance Lannebo-Denmark aims to create value by being an active owner that makes clients' investments grow by helping the companies they invest in succeed. The firm only invest in areas and companies where they can have a qualified opinion on future development. | Gestionnaire de Portefeuille-Actions | 01/06/2024 |
SEB Asset Management Bank A/S
SEB Asset Management Bank A/S Investment ManagersFinance SEB-AM is an active, GARP-oriented investment manager with a long-term outlook. The firm invests in European fixed-income and equity with a strong domestic focus. The firm's investment philosophy is thematic. The investment process starts with a top-down global view, aiming to identify factors affecting the global economy, particularly new trends and themes. The themes are used to put regions, industries and sectors in perspective and to rank companies within sectors, evaluating potential competitive advantages. SEB-AM seeks to invest in companies for which a competitive advantage is likely to result in exceptional growth over the long-term. Investment decisions follow a bottom-up process based on fundamental research, focusing on management quality, market position, balance sheet soundness and share price potential. Model portfolios are created, that are then mirrored or customized into fund and discretionary portfolios. Macroeconomic fundamental analysis is shared within the SEB group, supplementing in-house research that focuses on the domestic market. | Directeur en chef des Investissements | 30/10/2012 |
Skandinaviska Enskilda Banken AB (Denmark)
Skandinaviska Enskilda Banken AB (Denmark) Investment ManagersFinance SEB Denmark actively manages stock and bond portfolios based on a theme-based investment process. They believe that value is maximized by maintaining investments in promising stocks for long periods and their ideal investment horizon is very long. Risk management is an integral element of the firm’s investment process and is performed through solid internally-managed products and specialized products which they manage in cooperation with external partners. The products are offered as discretionary mandates or as mutual funds. SEB Denmark invests in a range of instruments including Danish equities, Danish fixed-income, European bonds and European equities. For other asset classes such as US high yield bonds, emerging market bonds, Japanese stocks and emerging markets equities, they work with external managers selected on the basis of a comprehensive institutional search and selection process. | Gestionnaire de Portefeuille-Actions | - |
Expériences
Fonctions occupées
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Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
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Sociétés liées
| Entreprise privées | 3 |
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SEB Asset Management Bank A/S
SEB Asset Management Bank A/S Investment ManagersFinance SEB-AM is an active, GARP-oriented investment manager with a long-term outlook. The firm invests in European fixed-income and equity with a strong domestic focus. The firm's investment philosophy is thematic. The investment process starts with a top-down global view, aiming to identify factors affecting the global economy, particularly new trends and themes. The themes are used to put regions, industries and sectors in perspective and to rank companies within sectors, evaluating potential competitive advantages. SEB-AM seeks to invest in companies for which a competitive advantage is likely to result in exceptional growth over the long-term. Investment decisions follow a bottom-up process based on fundamental research, focusing on management quality, market position, balance sheet soundness and share price potential. Model portfolios are created, that are then mirrored or customized into fund and discretionary portfolios. Macroeconomic fundamental analysis is shared within the SEB group, supplementing in-house research that focuses on the domestic market. | Finance |
Skandinaviska Enskilda Banken AB (Denmark)
Skandinaviska Enskilda Banken AB (Denmark) Investment ManagersFinance SEB Denmark actively manages stock and bond portfolios based on a theme-based investment process. They believe that value is maximized by maintaining investments in promising stocks for long periods and their ideal investment horizon is very long. Risk management is an integral element of the firm’s investment process and is performed through solid internally-managed products and specialized products which they manage in cooperation with external partners. The products are offered as discretionary mandates or as mutual funds. SEB Denmark invests in a range of instruments including Danish equities, Danish fixed-income, European bonds and European equities. For other asset classes such as US high yield bonds, emerging market bonds, Japanese stocks and emerging markets equities, they work with external managers selected on the basis of a comprehensive institutional search and selection process. | Finance |
Lannebo Fonder AB (Denmark)
Lannebo Fonder AB (Denmark) Investment ManagersFinance Lannebo-Denmark aims to create value by being an active owner that makes clients' investments grow by helping the companies they invest in succeed. The firm only invest in areas and companies where they can have a qualified opinion on future development. | Finance |
















