To facilitate the best possible return for a given risk level, Nordea Asset Management (NAM) 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.