Passer au contenu principal
Funds chevron_right
News chevron_right
Contact chevron_right

Le contenu de cette page relève de la communication marketing

2 min read time

Stein Svalestad

25 novembre 2024

Prior to joining SKAGEN, Svalestad worked as an analyst and investment consultant at Gabler Investment Consulting. 

Stein was educated at the University of Bergen, where he obtained his master's degree in economics. During his studies, he also worked as a research assistant, which sparked his interest in behavioral finance. In addition to his master's degree, Svalestad is also a certified NFF fixed income analyst. 

At SKAGEN Funds' New Year's Conference 2025, you can hear him speak about a subject that has been a theme throughout his career: how to become a better investor. His keynote is entitled "Investor behaviour pitfalls: The case for common sense investing" and you can register to watch his presentation via the link below. 

If you understand Norwegian and are interested in understanding how to become a better investor, you can also listen to Svalestad’s recent appearance on the SKAGEN podcast, where he explains why some investors achieve great returns while others fall behind. 

Sign up for the New Year’s Conference for free here.

New Year's Conference

Jennifer Wallace

An Active Manager with a Proven Track Record. As the founder, co-owner, and investment director of ... Read the article now arrow_right_alt

More about New Year's Conference

Loretta J. Mester

A Rate Hawk Offers Insight into the Financial Machinery. After 10 years as one of the twelve ...

Positive outlook for emerging markets

"You have to dare to be contrarian and look for the really good bargains. That is where the great ...

Fiona Hill: On the political front line

Having dined with Vladimir Putin, been adviser to a former US President and taken the witness stand ...

Les rendements historiques ne constituent pas une garantie pour les rendements futurs. Les rendements futurs dépendront, entre autres, de l'évolution du marché, des compétences du gestionnaire du fonds, du profil de risque du fonds et des frais de gestion. Le rendement peut devenir négatif en raison de l'évolution négative des prix. L'investissement dans les fonds comporte des risques liés aux mouvements du marché, à l'évolution des devises, aux niveaux des taux d'intérêt, aux conditions économiques, sectorielles et spécifiques à l'entreprise. Les fonds sont libellés en NOK. Les rendements peuvent augmenter ou diminuer en raison des fluctuations des devises. Avant d'effectuer une souscription, nous vous encourageons à lire le prospectus du fonds et le document d'information clé pour l'investisseur qui contiennent des détails supplémentaires sur les caractéristiques et les coûts du fonds. Ces informations sont disponibles sur le site www.skagenfunds.fr. Storebrand Asset Management administre les fonds SKAGEN qui sont, par convention, gérés par les gestionnaires de portefeuille de SKAGEN.

keyboard_arrow_up