Profile
Eric Berglund currently works at SEB Funds AB, as Portfolio Manager from 2025.
Mr. Berglund also formerly worked at Alfred Berg Kapitalförvaltning AB, as Senior Analyst from 2012 to 2014 and Ålandsbanken Fondbolag AB (Sweden), as Portfolio Manager from 2020 to 2025.
Eric Berglund active positions
| Companies | Position | Start |
|---|---|---|
SEB Investment Management AB
SEB Investment Management AB Investment ManagersFinance SEB Funds aims to develop their capabilities by technology driven innovation and a sustainable approach to investments. The firm’s equity management is characterized by in-depth fundamental analysis combined with sophisticated and modern methods. The investment teams uses both traditional stock picking processes and quantitative processes for their various products but shares common investment beliefs and core values. SEB IM’s fixed income management is characterized by fundamental macro and credit analysis supported by solid quantitative analysis. For multi management, the investment process is fundamentally based on continuous market analysis and extensive experience. However, quantitative supporting tools are a natural part of the investment process in the screening process, analysis process and portfolio construction. | Portfolio Manager-Equities | 01/02/2025 |
Former positions of Eric Berglund
| Companies | Position | End |
|---|---|---|
Ålandsbanken Fondbolag AB (Sweden)
Ålandsbanken Fondbolag AB (Sweden) Investment ManagersFinance Ålandsbanken-SE is an active, long-term manager which aims to generate returns in strong market situations and preserve capital in weak market situations. The firm offers allocation solutions between different asset classes. They constantly strive to find the optimal balance between fixed income and equity investments in the portfolio. Their geographic focus is on the Nordic markets, but may also invests outside the Nordic countries. | Analyst-Equity | 01/05/2020 |
Alfred Berg Kapitalförvaltning AB
Alfred Berg Kapitalförvaltning AB Investment ManagersFinance ABAM is an active, fundamentals-based manager which seeks to generate high risk-adjusted returns by combining financial and economic value factor analysis with macroeconomic analysis and real-time risk management. They invest across asset classes and investment styles including in fixed-income, equities, balanced products and alternative investments. The firm actively manage equities following a variety of investment styles, including Nordic and European equities. They employ a bottom-up approach and a fundamental evaluation of companies to identify under- and overvalued stocks rather than following weightings for given sectors or industries. ABAM conducts global research, aiming to identify themes within each industry, continuously trying to identify what carries the valuation of industries and companies. | Analyst-Equity | 12/06/2014 |
Experiences
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Listed companies
Private companies
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1st degree connections
1st degree companies
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Members of the board
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Linked companies
| Private companies | 3 |
|---|---|
SEB Investment Management AB
SEB Investment Management AB Investment ManagersFinance SEB Funds aims to develop their capabilities by technology driven innovation and a sustainable approach to investments. The firm’s equity management is characterized by in-depth fundamental analysis combined with sophisticated and modern methods. The investment teams uses both traditional stock picking processes and quantitative processes for their various products but shares common investment beliefs and core values. SEB IM’s fixed income management is characterized by fundamental macro and credit analysis supported by solid quantitative analysis. For multi management, the investment process is fundamentally based on continuous market analysis and extensive experience. However, quantitative supporting tools are a natural part of the investment process in the screening process, analysis process and portfolio construction. | Finance |
Alfred Berg Kapitalförvaltning AB
Alfred Berg Kapitalförvaltning AB Investment ManagersFinance ABAM is an active, fundamentals-based manager which seeks to generate high risk-adjusted returns by combining financial and economic value factor analysis with macroeconomic analysis and real-time risk management. They invest across asset classes and investment styles including in fixed-income, equities, balanced products and alternative investments. The firm actively manage equities following a variety of investment styles, including Nordic and European equities. They employ a bottom-up approach and a fundamental evaluation of companies to identify under- and overvalued stocks rather than following weightings for given sectors or industries. ABAM conducts global research, aiming to identify themes within each industry, continuously trying to identify what carries the valuation of industries and companies. | Finance |
Ålandsbanken Fondbolag AB (Sweden)
Ålandsbanken Fondbolag AB (Sweden) Investment ManagersFinance Ålandsbanken-SE is an active, long-term manager which aims to generate returns in strong market situations and preserve capital in weak market situations. The firm offers allocation solutions between different asset classes. They constantly strive to find the optimal balance between fixed income and equity investments in the portfolio. Their geographic focus is on the Nordic markets, but may also invests outside the Nordic countries. | Finance |
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