Position Management

VER’s Position Management Team focuses on investments in hedge funds and risk premium funds, as well as derivatives investments related to managing the market risks affecting the entire portfolio. Market risks (such as currency risk) are controlled by derivatives investments, which enables quick reactions to possible market changes and limiting the effects of non-desired risks. The team’s task is to improve the diversification of investments and to facilitate tactical changes to the allocation.

The team is led by CIO Sami Lahtinen with responsibility for position management.

Portfolio Manager Hanna Haavanlammi is responsible for hedge fund investments.

Portfolio Manager Jukka-Pekka Poutanen is responsible for derivatives investments and market reporting.