Profile
Mr. Kalle Huhdanmäki is a Portfolio Manager at Swedbank Robur Fonder AB. He has many years of experience in portfolio management and joined Swedbank Robur in 2025.
Mr. Huhdanmäki has previously worked as a portfolio manager of global small-midcap equities at Mackenzie Investments Europe (2019-2025).
Prior to that, he worked as portfolio manager of European equities at Nordea Investment Management (2012-2019) and at SEB Asset Management (2005-2012).
He has also worked as an equity analyst at Danske Aktie Analyse (1998-2005).
He holds a Master of Science degree (Economics) from the University of Copenhagen.
Kalle Huhdanmäki active positions
| Companies | Position | Start |
|---|---|---|
Swedbank Robur Fonder AB
Swedbank Robur Fonder AB Investment ManagersFinance Swedbank Robur aims to create sustainable, long-term return for their investors, while also contributing to the development of society and the environment. All their funds have a strict sustainability overlay where all managers use the firm’s proprietary ESG platform, RobuS, which uses both external and internal analysis to share and evaluate sustainability data. The firm actively selects companies based on fundamental and quantitative analysis. | Portfolio Manager-Equities | 30/09/2025 |
Former positions of Kalle Huhdanmäki
| Companies | Position | End |
|---|---|---|
Mackenzie Investments Europe Ltd.
Mackenzie Investments Europe Ltd. Investment ManagersFinance Mackenzie Europe believes success in fundamental investing is achieved by identifying undervalued, under-appreciated companies with high and/or improving returns on invested capital and a sustainable competitive advantage. Securities are evaluated based on top-down macro trends, bottom-up company analysis, and both internal and external research and analysis. The firm offers various institutional strategies that are well diversified across asset classes, geographies and sectors, targeting a range of specific investment objectives. | Portfolio Manager-Equities | 31/07/2023 |
Nordea Investment Management AB (Denmark)
Nordea Investment Management AB (Denmark) Investment ManagersFinance NIM-Denmark is an active manager which performs in-house research and follows a thematic investment process, employing top-down and bottom-up methods combined with defined themes based on major global structural changes. The firm's teams of portfolio managers perform top-down analysis to assess the aggregate economy, seeking to determine which industries will prosper and then conduct bottom-up analysis to identify potential companies. | Portfolio Manager-Equities | 31/08/2019 |
SEB Asset Management Bank A/S
SEB Asset Management Bank A/S Investment ManagersFinance SEB-AM is an active, GARP-oriented investment manager with a long-term outlook. The firm invests in European fixed-income and equity with a strong domestic focus. The firm's investment philosophy is thematic. The investment process starts with a top-down global view, aiming to identify factors affecting the global economy, particularly new trends and themes. The themes are used to put regions, industries and sectors in perspective and to rank companies within sectors, evaluating potential competitive advantages. SEB-AM seeks to invest in companies for which a competitive advantage is likely to result in exceptional growth over the long-term. Investment decisions follow a bottom-up process based on fundamental research, focusing on management quality, market position, balance sheet soundness and share price potential. Model portfolios are created, that are then mirrored or customized into fund and discretionary portfolios. Macroeconomic fundamental analysis is shared within the SEB group, supplementing in-house research that focuses on the domestic market. | Portfolio Manager-Equities | - |
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 | 4 |
|---|---|
Nordea Investment Management AB (Denmark)
Nordea Investment Management AB (Denmark) Investment ManagersFinance NIM-Denmark is an active manager which performs in-house research and follows a thematic investment process, employing top-down and bottom-up methods combined with defined themes based on major global structural changes. The firm's teams of portfolio managers perform top-down analysis to assess the aggregate economy, seeking to determine which industries will prosper and then conduct bottom-up analysis to identify potential companies. | Finance |
SEB Asset Management Bank A/S
SEB Asset Management Bank A/S Investment ManagersFinance SEB-AM is an active, GARP-oriented investment manager with a long-term outlook. The firm invests in European fixed-income and equity with a strong domestic focus. The firm's investment philosophy is thematic. The investment process starts with a top-down global view, aiming to identify factors affecting the global economy, particularly new trends and themes. The themes are used to put regions, industries and sectors in perspective and to rank companies within sectors, evaluating potential competitive advantages. SEB-AM seeks to invest in companies for which a competitive advantage is likely to result in exceptional growth over the long-term. Investment decisions follow a bottom-up process based on fundamental research, focusing on management quality, market position, balance sheet soundness and share price potential. Model portfolios are created, that are then mirrored or customized into fund and discretionary portfolios. Macroeconomic fundamental analysis is shared within the SEB group, supplementing in-house research that focuses on the domestic market. | Finance |
Swedbank Robur Fonder AB
Swedbank Robur Fonder AB Investment ManagersFinance Swedbank Robur aims to create sustainable, long-term return for their investors, while also contributing to the development of society and the environment. All their funds have a strict sustainability overlay where all managers use the firm’s proprietary ESG platform, RobuS, which uses both external and internal analysis to share and evaluate sustainability data. The firm actively selects companies based on fundamental and quantitative analysis. | Finance |
Mackenzie Investments Europe Ltd.
Mackenzie Investments Europe Ltd. Investment ManagersFinance Mackenzie Europe believes success in fundamental investing is achieved by identifying undervalued, under-appreciated companies with high and/or improving returns on invested capital and a sustainable competitive advantage. Securities are evaluated based on top-down macro trends, bottom-up company analysis, and both internal and external research and analysis. The firm offers various institutional strategies that are well diversified across asset classes, geographies and sectors, targeting a range of specific investment objectives. | Finance |
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