Access to information contained on this website is exclusively reserved for professional investors in Luxembourg. Please read the important information below. This contains legal and regulatory information which applies to our company status, use of this website and information about any investment in our products referred to in this website. Note that you will have to accept these terms and conditions before you can proceed. Copyright 2023 by Nordea Investment Funds S.A. – all rights reserved.
Please note that you are required to read and accept the terms of our privacy policy and the use of cookies before you are able to access our websites.
For full privacy and cookie policy please refer to the link below.
Access to information contained on this website is exclusively reserved for investors in Luxembourg. Please read the important information below. This contains legal and regulatory information which applies to our company status, use of this website and information about any investment in our products referred to in this website. Note that you will have to accept these terms and conditions before you can proceed. Copyright 2023 by Nordea Investment Funds S.A. – all rights reserved.
Please note that you are required to read and accept the terms of our privacy policy and the use of cookies before you are able to access our websites.
For full privacy and cookie policy please refer to the link below.
You have requested to view an article or page that is not available in your domain, selected language and/or to your investor type.
Go to Home Page
To facilitate the best possible return for a given risk level, Nordea Asset Management maintains two focuses: namely alpha and outcome. Our mission to deliver returns with responsibility is based on active management and thorough risk management. We strive to optimise risk-adjusted return for our customers vs. a benchmark or on an absolute level. To do this, we employ a multi-boutique approach that covers all asset classes from fixed income and equity to multi asset solutions. We manage local and European as well as US, global and emerging markets products.
We offer access to a broad range of fixed income solutions, which have been available to our clients for as long as Nordea Asset Management has been in business.
We have broad experience and expertise across all of our boutiques. Our solutions cover all major fixed income needs: Developed and emerging government bonds, covered bonds, mortgage bonds as well as US, European and emerging credit solutions (IG and HY). We also have specific expertise in our home markets (Denmark, Norway and Sweden).
We offer a wide selection of innovative equity solutions. Our offering combines the expertise of boutiques scattered across the world and covers both global and regional bottom-up solutions for developed markets with different styles (value, growth) and capitalization levels.
As we believe that emerging markets are essential for the future of investment products, we have also developed a unique expertise in global and Asian emerging markets and complemented it with single-country solutions to extract additional knowledge and value (India, China).
We are constantly striving to provide new investment options to benefit specific investment themes, market opportunities or circumstances.
Our Multi Assets team manages traditional balanced solutions for both retail and institutional clients, and has developed outcome products to meet their unique needs.
Outcome: Stability is the cornerstone of our investment philosophy
* Source (unless otherwise stated): Nordea Abp. and Nordea Investment Funds S.A. Date: 31.12.2022.
Please note that we have updated our Privacy Policy. Click here to know more.