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Go to Home PageNordea 1 – European Stars Equity Fund
A true European equity solution combining fundamental research with a detailed ESG analysis
• Long term bottom-up stock picking approach with a strong focus on valuation
• Focused on identifying companies able to generate sustainable shareholder value over the long term
• Detailed ESG analysis and active impact engagement performed by our in-house independent Responsible Investment team
Fund Manager: Nordea Fundamental Equities Team
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Nordea 1 – Nordic Equity Fund
Benefit from a uniquely positioned Equity solution within the Nordic Region:
• Strong track record of 5 years since inception versus the benchmark
• Specialised team of portfolio managers and analysts with a deep knowledge of the region, stocks and their growth dynamics
• Employs a “bottom-up” investment approach focusing on a concentrated portfolio of quality companies with a high active share
Fund Manager: Nordic, Finnish and Swedish Equities Team.
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus. The performance represented is historical; past performance is not a reliable indicator of future results and investors may not recover the full amount invested. The value of shares can greatly fluctuate as a result of the sub-fund’s investment policy and cannot be ensured, you could lose some or all of your invested money. Benchmark: MSCI Nordic 10/40 Index (Net Return)
Nordea 1 – Nordic STARS Equity Fund
A true nordic equity solution combining fundamental research with a detailed ESG analysis
• Long term bottom-up stock picking approach with a strong focus on valuation
• Focused on identifying companies able to generate sustainable shareholder value over the long term
• Detailed ESG analysis and active impact engagement performed by our in-house independent Responsible Investment team
Fund Manager: Nordea Nordic, Swedish and Finnish Equities Team
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Nordea 1 – European Small and Mid Cap Stars Equity Fund
A disciplined process to identify high quality growing companies
• Solid fundamental analysis to examine companies neglected by analysts in markets with recurring information inefficiencies
• A repeatable approach driven by a structured process
• A concentrated portfolio (45-65 holdings) that captures the best ideas
Fund Manager: European Equities Small and Mid Cap Team / Nordea Fundamental Equities Team
With effect as of 01 August 2022 the sub-fund is renamed from Nordea 1 – European Small and Mid Cap Equity Fund to Nordea 1 – European Small and Mid Cap Stars Equity Fund.
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Nordea 1 – European Stars Equity Fund
A true European equity solution combining fundamental research with a detailed ESG analysis
• Long term bottom-up stock picking approach with a strong focus on valuation
• Focused on identifying companies able to generate sustainable shareholder value over the long term
• Detailed ESG analysis and active impact engagement performed by our in-house independent Responsible Investment team
Fund Manager: Nordea Fundamental Equities Team
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Nordea 1 – Nordic Equity Fund
Benefit from a uniquely positioned Equity solution within the Nordic Region:
• Strong track record of 5 years since inception versus the benchmark
• Specialised team of portfolio managers and analysts with a deep knowledge of the region, stocks and their growth dynamics
• Employs a “bottom-up” investment approach focusing on a concentrated portfolio of quality companies with a high active share
Fund Manager: Nordic, Finnish and Swedish Equities Team.
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus. The performance represented is historical; past performance is not a reliable indicator of future results and investors may not recover the full amount invested. The value of shares can greatly fluctuate as a result of the sub-fund’s investment policy and cannot be ensured, you could lose some or all of your invested money. Benchmark: MSCI Nordic 10/40 Index (Net Return)
Nordea 1 – Nordic STARS Equity Fund
A true nordic equity solution combining fundamental research with a detailed ESG analysis
• Long term bottom-up stock picking approach with a strong focus on valuation
• Focused on identifying companies able to generate sustainable shareholder value over the long term
• Detailed ESG analysis and active impact engagement performed by our in-house independent Responsible Investment team
Fund Manager: Nordea Nordic, Swedish and Finnish Equities Team
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Nordea 1 – European Small and Mid Cap Stars Equity Fund
A disciplined process to identify high quality growing companies
• Solid fundamental analysis to examine companies neglected by analysts in markets with recurring information inefficiencies
• A repeatable approach driven by a structured process
• A concentrated portfolio (45-65 holdings) that captures the best ideas
Fund Manager: European Equities Small and Mid Cap Team / Nordea Fundamental Equities Team
With effect as of 01 August 2022 the sub-fund is renamed from Nordea 1 – European Small and Mid Cap Equity Fund to Nordea 1 – European Small and Mid Cap Stars Equity Fund.
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Nordea 1 – North American STARS Equity Fund
A true North American equity solution combining fundamental research with a detailed ESG analysis
Fund Manager: Nordea Fundamental Equities Team
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Nordea 1 – Global Stars Equity Fund
A true Global equity solution combining fundamental research with a detailed ESG analysis
• Long term bottom-up stock picking approach with a strong focus on valuation
• Focused on identifying companies able to generate sustainable shareholder value over the long term
• Detailed ESG analysis and active impact engagement performed by our in-house independent Responsible Investment team
Fund Manager: Nordea Fundamental Equities Team
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Nordea 1 – Global Gender Diversity Fund
Empower the change!
• Support a more fair and equal society by investing in the companies that succeed in creating equal opportunities for everyone
• A solution pairing gender diversity with more traditional valuation factors: to identify companies which are not only diverse and sustainable, but also present strong business prospects
• The active stance and expertise of our investment team with the strength of well-proven proprietary models, including the in-house Gender Diversity Score
Fund Manager: Nordea Diversified Equity Team
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Nordea 1 – Global Stable Equity Fund (GSEF)
Nordea 1 – Global Stable Equity Fund – Euro Hedged (GSEF-EH)*
Lower risk and better returns are possible
• Gain exposure to global equity markets with good downside protection
• A diversified portfolio of high quality stocks with an attractive valuation
• A unique investment process based on “Stable Equities” with a lower volatility profile
*Investments in the fund are hedged into EUR
Fund Manager: Stable Equities Team / Nordea Multi Assets Team
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
The performance represented is historical; past performance is not a reliable indicator of future results and investors may not recover the full amount invested. The value of shares can greatly fluctuate as a result of the sub-fund’s investment policy and cannot be ensured, you could lose some or all of your invested money.
Nordea 1 – Global Real Estate Fund
• Offers diversification to a traditional bond/equity portfolio by providing high income and downside protection during equity sell-offs
• Nordea entered into a partnership with Duff & Phelps, a specialist in the management of global real estate securities
• Active high conviction approach that has consistently added value for investors thanks to a unique emphasis on owner/operators of high quality commercial real estate
Fund Manager: Duff & Phelps Investment Management Co.
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Nordea 1 – Global Listed Infrastructure Fund
Achieve risk mitigation and diversification through a uniquely positioned solution focusing on core listed infrastructure companies with a stable demand profile and low volatility of cash flows
• The strategy has delivered attractive risk-adjusted returns over the long term, and has consistently outperformed benchmarks and peers within the MS Category EAA Fund Sector Equity Infrastructure
• Leveraging on CBRE Clarion, one of the most experienced and well-resourced portfolio management teams covering infrastructure securities
• Inflation-hedging solution with exposure to key investment themes within the infrastructure space (Decarbonisation, Aging assets and Digital transformation)
Fund Manager: CBRE Clarion Securities LLC
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus. The performance represented is historical; past performance is not a reliable indicator of future results and investors may not recover the full amount invested. The value of shares can greatly fluctuate as a result of the sub-fund’s investment policy and cannot be ensured, you could lose some or all of your invested money. With effect from 14.12.2020, the official reference index of the Nordea 1 – Global Listed Infrastructure Fund is FTSE Global Infrastructure 50/50 Index (Net Return). Prior to this date, the fund did not have an official reference index.
Nordea 1 – North American STARS Equity Fund
A true North American equity solution combining fundamental research with a detailed ESG analysis
Fund Manager: Nordea Fundamental Equities Team
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Nordea 1 – Global Stars Equity Fund
A true Global equity solution combining fundamental research with a detailed ESG analysis
• Long term bottom-up stock picking approach with a strong focus on valuation
• Focused on identifying companies able to generate sustainable shareholder value over the long term
• Detailed ESG analysis and active impact engagement performed by our in-house independent Responsible Investment team
Fund Manager: Nordea Fundamental Equities Team
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Nordea 1 – Global Gender Diversity Fund
Empower the change!
• Support a more fair and equal society by investing in the companies that succeed in creating equal opportunities for everyone
• A solution pairing gender diversity with more traditional valuation factors: to identify companies which are not only diverse and sustainable, but also present strong business prospects
• The active stance and expertise of our investment team with the strength of well-proven proprietary models, including the in-house Gender Diversity Score
Fund Manager: Nordea Diversified Equity Team
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Nordea 1 – Global Stable Equity Fund (GSEF)
Nordea 1 – Global Stable Equity Fund – Euro Hedged (GSEF-EH)*
Lower risk and better returns are possible
• Gain exposure to global equity markets with good downside protection
• A diversified portfolio of high quality stocks with an attractive valuation
• A unique investment process based on “Stable Equities” with a lower volatility profile
*Investments in the fund are hedged into EUR
Fund Manager: Stable Equities Team / Nordea Multi Assets Team
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
The performance represented is historical; past performance is not a reliable indicator of future results and investors may not recover the full amount invested. The value of shares can greatly fluctuate as a result of the sub-fund’s investment policy and cannot be ensured, you could lose some or all of your invested money.
Nordea 1 – Global Real Estate Fund
• Offers diversification to a traditional bond/equity portfolio by providing high income and downside protection during equity sell-offs
• Nordea entered into a partnership with Duff & Phelps, a specialist in the management of global real estate securities
• Active high conviction approach that has consistently added value for investors thanks to a unique emphasis on owner/operators of high quality commercial real estate
Fund Manager: Duff & Phelps Investment Management Co.
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Nordea 1 – Global Listed Infrastructure Fund
Achieve risk mitigation and diversification through a uniquely positioned solution focusing on core listed infrastructure companies with a stable demand profile and low volatility of cash flows
• The strategy has delivered attractive risk-adjusted returns over the long term, and has consistently outperformed benchmarks and peers within the MS Category EAA Fund Sector Equity Infrastructure
• Leveraging on CBRE Clarion, one of the most experienced and well-resourced portfolio management teams covering infrastructure securities
• Inflation-hedging solution with exposure to key investment themes within the infrastructure space (Decarbonisation, Aging assets and Digital transformation)
Fund Manager: CBRE Clarion Securities LLC
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus. The performance represented is historical; past performance is not a reliable indicator of future results and investors may not recover the full amount invested. The value of shares can greatly fluctuate as a result of the sub-fund’s investment policy and cannot be ensured, you could lose some or all of your invested money. With effect from 14.12.2020, the official reference index of the Nordea 1 – Global Listed Infrastructure Fund is FTSE Global Infrastructure 50/50 Index (Net Return). Prior to this date, the fund did not have an official reference index.
Nordea 1 – Emerging Stars Equity Fund
A true Global Emerging Markets equity solution
• A pure bottom-up, high quality portfolio with a GARP bias
• Focused on identifying companies able to generate sustainable shareholder value over the long term
• Integrates ESG analysis as a risk management tool: a core GEM solution, not an ethical fund
Fund Manager: Nordea Fundamental Equities Team
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Nordea 1 – Asian STARS Equity Fund
A true Asian Emerging Markets equity solution
• A pure bottom-up, high quality portfolio with a GARP bias
• Focused on identifying companies able to generate sustainable shareholder value over the long term
• Integrates ESG analysis as a risk management tool: an Asian Emerging Markets solution, not an ethical fund
Fund Manager: Nordea Fundamental Equities Team
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Nordea 1 – Emerging Wealth Equity Fund *
Invest in one of the strongest and most sustainable trends in coming decades
• A global equity fund designed to benefit from Emerging Markets’ (EM) rising middle-class
• A solution to access EM growth potential with a “defensive approach”
• Uses a fundamental bottom-up investment process to identify companies able to cater to EM consumers’ appetite
Fund Manager: GW&K Investment Management LLC
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
*With effect as of 13.11.2019 the sub-fund is renamed from Nordea 1 – Emerging Consumer Fund to Nordea 1 – Emerging Wealth Equity Fund and the investment policy of the sub-fund was modified.
Nordea 1 – Stable Emerging Markets Equity Fund
Invests in emerging markets with a safety belt
• Offers exposure to emerging equity markets with good downside protection
• A diversified portfolio of high quality stocks with an attractive valuation
• A unique investment process based on “Stable Equities”, with a lower volatility profile
Fund Manager: Stable Equities / Nordea Multi Assets Team
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Please note that the Nordea 1 – Stable Emerging Markets Equity Fund was soft closed between 01.02.2017 and 30.04.2020 and that the soft closure has now been lifted.
Nordea 1 – Indian Equity Fund
Specialised local knowledge makes a difference
• Managed by Manulife Investment Management (Singapore) Pte. Ltd
• Follows a blended investment process which combines a counter-cyclical top-down view with an all cap bottom-up approach
• Presents a viable alternative to broader EM investing
Fund Manager: Manulife Investment Management (Singapore) Pte. Ltd
Manulife Investment Management (Singapore) Pte. Ltd is appointed as Sub-Investment manager as of 14.12.2021, replacing Investment advisor ICICI Prudential Asset Management Company Ltd. The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Nordea 1 – Emerging Stars Equity Fund
A true Global Emerging Markets equity solution
• A pure bottom-up, high quality portfolio with a GARP bias
• Focused on identifying companies able to generate sustainable shareholder value over the long term
• Integrates ESG analysis as a risk management tool: a core GEM solution, not an ethical fund
Fund Manager: Nordea Fundamental Equities Team
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Nordea 1 – Asian STARS Equity Fund
A true Asian Emerging Markets equity solution
• A pure bottom-up, high quality portfolio with a GARP bias
• Focused on identifying companies able to generate sustainable shareholder value over the long term
• Integrates ESG analysis as a risk management tool: an Asian Emerging Markets solution, not an ethical fund
Fund Manager: Nordea Fundamental Equities Team
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Nordea 1 – Emerging Wealth Equity Fund *
Invest in one of the strongest and most sustainable trends in coming decades
• A global equity fund designed to benefit from Emerging Markets’ (EM) rising middle-class
• A solution to access EM growth potential with a “defensive approach”
• Uses a fundamental bottom-up investment process to identify companies able to cater to EM consumers’ appetite
Fund Manager: GW&K Investment Management LLC
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
*With effect as of 13.11.2019 the sub-fund is renamed from Nordea 1 – Emerging Consumer Fund to Nordea 1 – Emerging Wealth Equity Fund and the investment policy of the sub-fund was modified.
Nordea 1 – Stable Emerging Markets Equity Fund
Invests in emerging markets with a safety belt
• Offers exposure to emerging equity markets with good downside protection
• A diversified portfolio of high quality stocks with an attractive valuation
• A unique investment process based on “Stable Equities”, with a lower volatility profile
Fund Manager: Stable Equities / Nordea Multi Assets Team
The above investment approach is for illustrative purpose only and may be changed at the discretion of the investment manager as long as the latter invests in accordance with the investment objective and policy as stated in the Prospectus.
Please note that the Nordea 1 – Stable Emerging Markets Equity Fund was soft closed between 01.02.2017 and 30.04.2020 and that the soft closure has now been lifted.