×

Choose your investor profile

Welcome to Nordea Investment Funds S.A.

Country
Please select country
Language
Please select language

Choose your investor profile

Investor type
Please select investor type
Terms and conditions

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 2022 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.

Terms and conditions

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 2022 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.

  • 1. Terms and conditions
  • 2. Data privacy policy
  • 1. Terms and conditions
  • 2. Data privacy policy
Please agree to terms and conditions
Please agree to data privacy policy
×
  • 1. Terms and conditions
  • 2. Data privacy policy
  • 1. Terms and conditions
  • 2. Data privacy policy
Back
×

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
  • Careers
  • NAM Global
  • Nordea Group
  • LU / Professional investor
  • LU / Professional investor
  • Careers
  • NAM Global
  • Nordea Group
  • Home
  • Funds
    BACK

    Funds

    In focus

    • image Featured funds
    • ESG Building Blocks
    • ESG STARS Funds
    • Sustainability Themed Funds
    • Emerging STARS Equity Fund
    • European Covered Bond Funds
    • Multi Asset Solutions
    • Stable Return Fund

    All funds

    • image Prices and performance
    • Literature
    • Videos
    • Podcasts

    Legal

    • image Legal library
      • Notices to shareholders
      • Prospectus
      • KIID

    Sustainability-related disclosures

    • image Product information
    • Integration of Sustainability Risks in Remuneration
    • Principal Adverse Impact Statement
    • Sustainability Risk Integration in the Investment Decision-making Process
  • Asset Management
    BACK

    Asset Management

    Asset Management

    • About us
    • Our solutions
    • Multi-boutique approach
    • Responsible Investment

    Key investment updates

    Stay alert

    Latest insights
  • Responsible Investment
    BACK

    Responsible Investment

    RI Products

    • ESG STARS Funds
    • Sustainability Themed Funds
    • Global Climate and Social Impact Fund
    • Global Gender Diversity Fund
    • Emerging STARS Equity Fund

    Responsible Investment

    Latest ESG Insights

    • Shipping charts course for sustainable future
    • Opening the ‘S’ frontier
    • Waste and Opportunity
    • ESG in EM Equity
    • ESG in Fixed income portfolios
    • ESG in EM Debt
    • Danger in the Water

    Responsible Investment

    RI Documents

    • RI Policy
    • Corporate Governance Principles
    • Engagement Policy
    • Annual Report
    • SRD II Annual Report
    • Paris-Aligned Fossil Fuel Policy

    RI e-learning


    Enhance and test your ESG knowledge with our certified tool

    Test your knowledge
    Test your knowledge
  • Insights
    BACK

    Insights

    Latest insights

    • The rise of European fixed income
    • Infrastructure’s irreplaceable role...
    • The case for Tech
    • Time for duration in the European p...
    View all

    ESG Learning centre


    A selection of insightful ESG papers, videos and case studies.

    Learn more
  • News
    BACK

    News

    Press releases

    • Nordea Asset Management launches new climate strategy designed to curb real CO2 emissions

      April 2022

    • 3-year anniversaries for five of Nordea’s Fixed Income ESG STARS funds

      March 2022

    View all

    Legal notices

    • Notice of meeting

      05 August 2022

    • Notice to shareholders

      14 July 2022

    View all
  • Contact us
    BACK

    Contact Nordea Luxembourg

    Nordea Investment Funds S.A.
    562, rue de Neudorf
    P.O. Box 782
    L-2017 Luxembourg
    Luxembourg

    Get directions

Press release

06 July 2021

Nordea Asset Management launches thematic strategy to address Climate and Social issues

LUXEMBOURG, LU — On the 6th of July 2021, Nordea Asset Management (NAM) launched its Global Climate and Social Impact Strategy, adding another sustainability themed product to its ESG range.

NAM is pleased to announce the launch of its Nordea’s Global Climate and Social Impact Strategy (“the Strategy”), a thematic global equity product managed by the successful ESG thematic boutique behind the well-known Nordea 1 – Global Climate and Environment Fund (GCLIMEF)*.
The product has been designed for investors looking for solutions that bring together both the social and environmental dimensions of sustainability, and is classified Article 9 under SFDR.

“The climate crisis is an issue demanding our attention, yet there is also a fundamental need to address the social issues facing society today. Companies that offer solutions to these problems represent a compelling proposition for investors. New consumers care not only about what the products are made of, but how they are made. That’s why we look for companies that marry purpose and profits.”
Thomas Sørensen, co-Manager of Nordea’s Global Climate and Social Impact Strategy

The Strategy is a global fundamental bottom-up solution built on a strong ESG research platform where impact analysis is fully integrated. It is managed by an Investment team with an outstanding track record and substantial experience in investing in climate and social empowerment themes.** Portfolio managers aim to deliver attractive returns*** by investing in businesses that provide meaningful solutions to address pressing social and environmental needs. They collaborate closely with NAM’s dedicated Responsible Investments team, one of the largest in the AM industry, to create value through engagement with the invested companies.

With the Nordea Global Climate and Social Impact Strategy, investors can play an active role in the transition towards an Inclusive Green Economy.

* Please note that the Nordea 1 – Global Climate and Environment Fund is soft closed since the 26th of February, 2021.

** 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 your investment can go up and down, and you could lose some or all of your invested money.

*** There can be no warranty that an investment objective, targeted returns and results of an investment structure is achieved. The value of your investment can go up and down, and you could lose some or all of your invested money.

Nordea Asset Management is the functional name of the asset management business conducted by the legal entities Nordea Investment Funds S.A. and Nordea Investment Management AB (“the Legal Entities”) and their branches, subsidiaries and representative offices. Additional information for Nordea 1, SICAV: The sub-funds mentioned are part of Nordea 1, SICAV, an open-ended Luxembourg-based investment company (Société d’Investissement à Capital Variable), validly formed and existing in accordance with the laws of Luxembourg and with European Council Directive 2009/65/EC of 13 July 2009. This document is advertising material and does not disclose all relevant information concerning the presented sub-funds. Any investment decision in the sub-funds should be made on the basis of the current prospectus and the Key Investor Information Document (KIID), which are available, along with the current annual and semi-annual reports, electronically in English and in the local language of the market where the mentioned SICAV is authorised for distribution, without charge upon request from Nordea Investment Funds S.A., 562, rue de Neudorf, P.O. Box 782, L-2017 Luxembourg, from the local representatives or information agents, or from our distributors. Further information can be obtained from your financial advisor. He/she can advise you independently of Nordea Investment Funds S.A. Please note that all sub funds and share classes might not be available in your country of jurisdiction. Additional information for investors in Switzerland: The Swiss Representative and Paying Agent is BNP Paribas Securities Services, Paris, Succursale de Zurich, Selnaustrasse 16, 8002 Zurich, Switzerland. Additional information for investors in Germany: The Information Agent in Germany is Société Générale S.A. Frankfurt Branch, Neue Mainzer Straße 46-50, 60311 Frankfurt am Main, Germany. A hard copy of the above-mentioned fund documentation is also available here. Additional information for investors in Austria: The Information and Paying Agent in Austria is Erste Bank der österreichischen Sparkassen AG, Am Belvedere 1, 1100 Vienna, Austria. Additional information for investors in the Netherlands: Nordea 1, SICAV is a Luxembourg Undertaking for Collective Investment in Transferable Securities (UCITS) registered in the Netherlands in the register kept by the AFM, and as such is allowed to offer its shares in the Netherlands. The AFM register can be consulted via www.afm.nl/register. Additional information for investors in France: With the authorisation of the AMF the shares of the sub-funds of Nordea 1, SICAV may be distributed in France. Centralising Correspondent in France is CACEIS Bank, located at 1-3, place Valhubert, 75206 Paris cedex 13, France. Investors are advised to conduct thorough research before making any investment decision. Additional information for investors in in Spain: Nordea 1, SICAV is duly registered in the CNMV official registry of foreign collective investment institutions (entry no. 340) as authorised to be marketed to the public in Spain. The Depositary of the SICAV’s assets is, J.P. Morgan Bank Luxembourg S.A. In Spain, any investment must be made through the authorised distributors and on the basis of the information contained in the mandatory documentation that must be received from the SICAV’s authorised distributor prior to any subscription. The Representative Agent is Allfunds Bank S.A.U., C/ de los Padres Dominicos, 7, 28050, Madrid, Spain. A complete list of the authorised distributors is available in the CNMV’s webpage (www.cnmv.es). Additional information for investors in Portugal: The Management Company of the SICAV, Nordea Investment Funds S.A., and the Depositary of the SICAV’s assets, J.P. Morgan Bank Luxembourg S.A., are validly formed and existing in accordance with the laws of Luxembourg and authorized by the Commission de Surveillance du Secteur Financier in Luxembourg. Our distributor in Portugal is BEST – Banco Electrónico de Serviço Total, S.A., duly incorporated under the laws of Portugal and registered with the CMVM as a financial intermediary. Additional information for investors in Italy: Fund documentation as listed above is also available in Italy from the distributors and on the website www.nordea.it. The updated list of distribution Agents in Italy, grouped by homogenous category, is available from the distributors themselves or from the Paying Agents: State Street Bank International GmbH – Succursale Italia, Allfunds Bank S.A.U –Succursale di Milano, Société Générale Securities Services S.p.A., Banca Sella Holding S.p.A, Banca Monte dei Paschi di Siena S.p.A, CACEIS Bank S.A., – Italian Branch and on the website www.nordea.it. Any requests for additional information should be sent to the distributors. Before investing, please read the prospectus and the KIID carefully. We recommend that you read the most recent annual financial statement in order to be better informed about the fund’s investment policy. The prospectus and KIID for the sub-funds have been published with Consob. For the risk profile of the mentioned sub-funds, please refer to the fund prospectus. Additional information for investors in the United Kingdom: The Facilities Agent is FE Fundinfo (UK) Limited 3rd Floor, Hollywood House, Church Street East, Woking GU21 6HJ, United Kingdom. Additional information for investors in Ireland: The Facilities Agent is Maples Fund Services (Ireland) Limited, 32 Molesworth Street, D02 Y512 Dublin 2, Ireland. Additional information for investors in Sweden: The Paying Agent is Nordea Bank Abp, Swedish Branch, Smålandsgatan 17, 105 71 Stockholm, Sweden. Additional information for investors in Denmark: The Representative and Sub-Paying Agent is Nordea Danmark, Filial af Nordea Bank Abp, Finland, Grønjordsvej 10, Postbox 850 0900 Copenhagen C, Denmark. A hard copy of the above-mentioned fund documentation is available here. Additional information for investors in Norway: The Nordea 1, SICAV is registered in Norway. Additional information for investors in Finland: The Representative Agent is Nordea Funds Ltd, Satamaradankatu 5, 00020, Helsinki, Finland. Additional information for investors in Latvia: The Representative Agent in Latvia is Luminor Bank AS, 62 Skanstes iela 12, 1013 Riga, Latvia. Additional information for investors in Estonia: The Representative Agent in Estonia is Luminor Bank AS, Liivalaia 45, 10145 Tallinn, Estonia. Additional information for investors in Lithuania: The Representative Agent in Lithuania is Luminor Bank AB, Konstitucijos pr. 21A, 03601Vilnius, Lithuania. Shareholders must evaluate possible investment risks and take this into consideration when making investment decisions. Investments in Emerging Markets involve a higher element of risk. The value of shares can greatly fluctuate as a result of the sub-fund’s investment policy and cannot be ensured. Investments in equity and debt instruments issued by banks could bear the risk of being subject to the bail-in mechanism (meaning that equity and debt instruments could be written down in order to ensure that most unsecured creditors of an institution bear appropriate losses) as foreseen in EU Directive 2014/59/EU. For further details of investment risks associated with these sub-funds, please refer to the relevant Key Investor Information Document (KIID), available as described above. Nordea Asset Management has decided to bear the cost for research, i.e. such cost is covered by existing fee arrangements (Management-/Administration-Fee). Published and created by the Legal Entities adherent to Nordea Asset Management. The Legal Entities are licensed and supervised by the Financial Supervisory Authority in Sweden and Luxembourg respectively. The Legal Entities’ branches, subsidiaries and representative offices are licensed as well as regulated by their local financial supervisory authority in their respective country of domiciliation. Source (unless otherwise stated): Nordea Investment Funds S.A. Unless otherwise stated, all views expressed are those of the Legal Entities adherent to Nordea Asset Management and any of the Legal Entities’ branches, subsidiaries and representative offices. This document may not be reproduced or circulated without prior permission. Reference to companies or other investments mentioned within this document should not be construed as a recommendation to the investor to buy or sell the same but is included for the purpose of illustration. The level of tax benefits and liabilities will depend on individual circumstances and may be subject to change in the future. © The Legal Entities adherent to Nordea Asset Management and any of the Legal Entities’ branches, subsidiaries and/or representative offices.

Most read

  • The rise of European fixed income

    Aug 2022

  • Infrastructure’s irreplaceable role in t...

    Aug 2022

  • The case for Tech

    Jul 2022

×

Latest posts

26 Apr 2022 Nordea Asset Management launches new climate strategy designed to curb real CO2 emissions View
25 Mar 2022 3-year anniversaries for five of Nordea’s Fixed Income ESG STARS funds View
08 Mar 2022 On International Women’s Day, Nordea Asset Management celebrates the 3-year anniversary of Nordea 1 – Global Gender Diversity Fund View
19 Jan 2022 Nordea Asset Management recognized for “Best Social Thematic Fund” at MainStreet Partners ‘ESG Champions’ awards View
03 Jan 2022 Nordea Asset Management adds two US credit solutions to its ESG STARS range View
30 Nov 2021 Nordea Asset Management survey finds 62% of European financial advisors has not offered clients an ESG proposal in the past 12 months View
  • Terms and conditions
  • Data privacy policy
  • Cookie Policy
  • Sitemap
  • Glossary
© 2022 by Nordea Investment Funds S.A. - all rights reserved.
×
Back