Profil
Mr. Lars Jakob Krabbe is a Portfolio Manager at Coeli Asset Management AB. He joined the firm in August 2021 and has more than 30 years of experience in finance industry.
He also has been managing Emerging Market debt portfolios for more than 20 years.
Mr. Krabbe has since 1989 been working within macroeconomic research and fixed income products, and been a portfolio manager in fixed income emerging markets since 2001.
In 1989 he joined Danske Bank as an Analyst covering the Scandi macro- and bond market during the crisis of the early 1990.
Later he covered sales to foreign institutional client in the fixed income space before becoming a Portfolio Manager in 1999, and from 2001 dedicated to Emerging Markets at Danske Capital, Nordea and since 2007 at BankInvest.
At BankInvest he was a member of the emerging market fixed income team where he mainly covered Latin American sovereign debt.
This includes research of macroeconomic development, debt dynamics and more specific fixed income analysis.
He holds a Master of Science in Economics from the University of Copenhagen.
Postes actifs de Lars Jakob Krabbe
| Sociétés | Poste | Début |
|---|---|---|
Coeli Asset Management AB
Coeli Asset Management AB Investment ManagersFinance Coeli AM is an active manager which invests in equity and equity-related securities, third-party funds and alternative asset classes. They invest in Swedish equity, and marginally in Nordic countries, North America and the UK. Their equity portfolio is concentrated and diversified across sectors including telecommunications, energy and resources. The firm follows a sectorial and regional tactical asset allocation strategy and aims to construct uncorrelated portfolios. Their investment approach favors high-performing funds and autonomous asset managers, avoiding index-oriented managers. They invest in funds following a variety of strategies, including funds specialized in equity, fixed-income, alternative asset classes, regions and countries (Sweden in particular). Their multi-manager selection process uses a proprietary analytic model and is segmented into three phases. The screening of a vast universe of third-party funds yields a list of approximately a hundred funds to be researched, of which about half are analyzed in depth. | Portfolio Manager-Fixed Income | 01/08/2021 |
Anciens postes connus de Lars Jakob Krabbe
| Sociétés | Poste | Fin |
|---|---|---|
BI Asset Management Fondsmæglerselskab A/S
BI Asset Management Fondsmæglerselskab A/S Investment ManagersFinance BIAM emphasizes long-term investments, bottom-up stock-picking approach and cash flow analysis. They base their investment process on fundamental research including company visits and extensive use of outsourced industrial expertise from non-financial analysts associated with the sectors in which they invest. The firm invests globally in listed equity, debt and alternative asset classes including private equity. BIAM favors companies with strong cash flow, growth potential within their sector and solid business models. They have specialist expertise in emerging market securities, both equity and fixed income, and invest in the Far East, Latin America and Eastern Europe. | Analyst-Fixed Income | 01/08/2020 |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
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Administrateurs
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Sociétés liées
| Entreprise privées | 2 |
|---|---|
BI Asset Management Fondsmæglerselskab A/S
BI Asset Management Fondsmæglerselskab A/S Investment ManagersFinance BIAM emphasizes long-term investments, bottom-up stock-picking approach and cash flow analysis. They base their investment process on fundamental research including company visits and extensive use of outsourced industrial expertise from non-financial analysts associated with the sectors in which they invest. The firm invests globally in listed equity, debt and alternative asset classes including private equity. BIAM favors companies with strong cash flow, growth potential within their sector and solid business models. They have specialist expertise in emerging market securities, both equity and fixed income, and invest in the Far East, Latin America and Eastern Europe. | Finance |
Coeli Asset Management AB
Coeli Asset Management AB Investment ManagersFinance Coeli AM is an active manager which invests in equity and equity-related securities, third-party funds and alternative asset classes. They invest in Swedish equity, and marginally in Nordic countries, North America and the UK. Their equity portfolio is concentrated and diversified across sectors including telecommunications, energy and resources. The firm follows a sectorial and regional tactical asset allocation strategy and aims to construct uncorrelated portfolios. Their investment approach favors high-performing funds and autonomous asset managers, avoiding index-oriented managers. They invest in funds following a variety of strategies, including funds specialized in equity, fixed-income, alternative asset classes, regions and countries (Sweden in particular). Their multi-manager selection process uses a proprietary analytic model and is segmented into three phases. The screening of a vast universe of third-party funds yields a list of approximately a hundred funds to be researched, of which about half are analyzed in depth. | Finance |
















