Profile
Bengt Kileus currently works as an Analyst at AFA Försäkring Tjänstepensionsaktiebolag (Invt Mgmt).
The current job is Analyst at AFA Försäkring Tjänstepensionsaktiebolag (Invt Mgmt).
Bengt Kileus active positions
| Companies | Position | Start |
|---|---|---|
AFA Sjukförsäkringsaktiebolag (Invt Mgmt)
AFA Sjukförsäkringsaktiebolag (Invt Mgmt) Investment ManagersFinance AFA IM is an active, prudent manager which focuses on capital preservation and meeting expected withdrawals. They invest in global equity and fixed-income, as well as in Nordic property and third-party funds, with the bulk of their investments in fixed-income. Equity investments favor Swedish large-caps and established international companies in Europe and the US. Portfolios outside of the firm's area of expertise are delegated to external asset managers. The firm follows a top-down investment approach based on macroeconomic research, combined with portfolio theory models. They perform qualitative analysis, aiming to identify mispriced stocks. They construct Portfolios within a framework of long-term strategic asset allocation supplemented with short-term tactical asset allocation guidelines. | Analyst-Equity | - |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 1 |
|---|---|
AFA Sjukförsäkringsaktiebolag (Invt Mgmt)
AFA Sjukförsäkringsaktiebolag (Invt Mgmt) Investment ManagersFinance AFA IM is an active, prudent manager which focuses on capital preservation and meeting expected withdrawals. They invest in global equity and fixed-income, as well as in Nordic property and third-party funds, with the bulk of their investments in fixed-income. Equity investments favor Swedish large-caps and established international companies in Europe and the US. Portfolios outside of the firm's area of expertise are delegated to external asset managers. The firm follows a top-down investment approach based on macroeconomic research, combined with portfolio theory models. They perform qualitative analysis, aiming to identify mispriced stocks. They construct Portfolios within a framework of long-term strategic asset allocation supplemented with short-term tactical asset allocation guidelines. | Finance |
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