Profil
Mr. Richard Gröttheim is Chief Executive Officer at Sjunde AP-fonden.
He has been at the firm since 2000 and was appointed Chief Executive Officer in December 2010, after being the Vice President & Head of Asset Management.
Mr. Gröttheim has worked in the financial services since 1985.
He was previously a Director of the Swedish Central Bank from 1994 to 1999.
He has also held the Chief Economist position at Aragon Fondkommission from 1986 to 1993.
Anciens postes connus de Richard Gröttheim
| Sociétés | Poste | Fin |
|---|---|---|
Sjunde AP-fonden
Sjunde AP-fonden Investment ManagersFinance AP7 invests in global equities across many different industries, which is a good way to spread risk. Their core strategy is to take advantage of returns in the stock market by tracking market indices rather than individual shares. All AP7’s products reflect the firm’s investment and risk management approach. The AP7 Equity Fund has a core portfolio comprised of 96 percent global equities and 4 percent private equity. The private equity portfolio consists of indirect investments in mutual funds that invest in private equity. A portion of the fund is invested in the clean technology sector. The firm seeks to invest AP7 Fixed Income Fund assets in fixed income instruments with: (1) low credit risk, (2) an average duration of around 2 years, and (3) a strong bias to assets denominated in Swedish kronor. A maximum of 30 percent of AP7 Fixed Income Fund assets may be placed in bank deposits. | Directeur Général | 01/05/2023 |
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| Entreprise privées | 1 |
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Sjunde AP-fonden
Sjunde AP-fonden Investment ManagersFinance AP7 invests in global equities across many different industries, which is a good way to spread risk. Their core strategy is to take advantage of returns in the stock market by tracking market indices rather than individual shares. All AP7’s products reflect the firm’s investment and risk management approach. The AP7 Equity Fund has a core portfolio comprised of 96 percent global equities and 4 percent private equity. The private equity portfolio consists of indirect investments in mutual funds that invest in private equity. A portion of the fund is invested in the clean technology sector. The firm seeks to invest AP7 Fixed Income Fund assets in fixed income instruments with: (1) low credit risk, (2) an average duration of around 2 years, and (3) a strong bias to assets denominated in Swedish kronor. A maximum of 30 percent of AP7 Fixed Income Fund assets may be placed in bank deposits. | Finance |
















