Nordea Asset Management Anders

Profiel

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Naam
Nordea Asset Management

Nordea Asset Management is part of the Nordea Group; the largest financial services group in the Nordic region. NAM offers European and global investors’ exposure to a broad set of investment funds. We serve a wide range of clients and distributors which include banks, asset managers, independent financial advisors and insurance companies.


Nordea Asset Management has a presence in Bonn, Brussels, Copenhagen, Frankfurt, Helsinki, Lisbon, London, Luxembourg, Madrid, Milan, New York, Oslo, Paris, Santiago de Chile, Singapore, Stockholm, Vienna and Zurich. Nordea's local presence goes hand in hand with the objective of being accessible and offering the best service to clients.


Nordea’s success is based on a sustainable and unique multi-boutique approach that combines the expertise of specialized internal boutiques with exclusive external competences allowing us to deliver alpha in a stable way for the benefit of our clients. NAM solutions cover all asset classes from fixed income and equity to multi asset solutions, and manage local and European as well as US, global and emerging market products. Today we manage more than 292 billion EUR. 


Research & content

Publicatiedatum 27-6-2022

Vermogensbeheer

Laag risico, en hoog rendement. Dat is mogelijk.
Publicatiedatum 17-5-2022

Vermogensbeheer

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Producten en Oplossingen

(Integraal) Risicomanagement
Aandelen
Aandelen opkomende markten
Advisory/sub-advisory
ALM/strategisch advies
Andere
Assetallocatie (SAA/TAA/GTAA)
Bedrijfsobligaties
Beleggingsfondsen
Bitcoin / crypto-assets
Custody
Derivaten
Discretionaire mandaten
Duurzaam beleggen / ESG
ETFS
Fiduciair beheer, (deels) intern beheerd
Fiduciair beheer, uitsluitend extern beheerd
Gestructureerde producten
Grondstoffen
Hedgefondsen
High yield
Hypotheken
Impact beleggen
Infrastructuur & Vastgoed
LDI
Multi-asset mandaten
Obligaties opkomende markten
Private debt
Private Equity
Research
Securities lending
Staatsobligaties
Valuta
(Integraal) Risicomanagement
Aandelen
Aandelen opkomende markten
Advisory/sub-advisory
ALM/strategisch advies
Andere
Assetallocatie (SAA/TAA/GTAA)
Bedrijfsobligaties
Beleggingsfondsen
Bitcoin / crypto-assets
Custody
Derivaten
Discretionaire mandaten
Duurzaam beleggen / ESG
ETFS
Fiduciair beheer, (deels) intern beheerd
Fiduciair beheer, uitsluitend extern beheerd
Gestructureerde producten
Grondstoffen
Hedgefondsen
High yield
Hypotheken
Impact beleggen
Infrastructuur & Vastgoed
LDI
Multi-asset mandaten
Obligaties opkomende markten
Private debt
Private Equity
Research
Securities lending
Staatsobligaties
Valuta

Klanten

Beleggingsovertuigingen

Nordea Asset Management’s philosophy is funded on delivering returns with responsibility.

Nordea Asset Management is an active manager that aims to provide alpha and outcome in diverse market conditions; at the same time, we view stability as a cornerstone of our philosophy. By employing a multi-boutique approach that combines internal strengths with external competencies, we are able to provide expertise across a wide variety of solutions. We believe it is important to give fund managers the freedom to invest with minimum constraints. When it comes to creating alpha, we believe investment managers will perform better if they are autonomous and independent in their investment process.

Our strong focus on outcome solutions, as opposed to benchmark-oriented products, allows us to meet clients’ needs and risk appetite. Over the past sixteen years, our internal Multi Assets team, which manages more than EUR 100 billion of assets, has developed a strong expertise in risk premia: breaking down assets into their component return drivers. From these, the team has built a wide range of specific investment solutions with the aim of delivering long-term stable returns in all market environments. This suite of outcome strategies stretches from the apparently simple to sophisticated liquid alternatives.

Marktvisie

For an up-to-date market view, please visit: https://www.nordea.lu/en/professional/

Ambities en Waarden

Responsible Investing (RI) is deeply embedded in Nordea Asset Management’s corporate culture and philosophy.

Our journey in responsible investing began over 30 years ago when we launched our first sector screened funds and ever since we have developed policies, procedures and investment products based on RI considerations. Many years ago, we set up an RI committee, chaired by CEO of Nordea Asset Management, which governs all firm wide RI matters. We have also developed an RI Policy covering all our investments. We consider it our fiduciary duty to care about all factors that are material to clients’ investments, including both financial non-financial such as ESG factors. That’s why we have established a comprehensive responsible investment framework.

 

At Nordea Asset Management, we have been dealing with Climate strategies for more than a decade, and we recently had to soft close one of our ‘Climate strategies’, which we launched in early 2008 – and which has attracted ambitious investors from around the world. But our ambitions don’t stop here, as we have many other ones, and also new products in the pipeline. We firmly believe that ESG, SDG and Impact Investing are important points on the agenda – and teaming up has the potential to create a massive impact.

Performancemeting

Intern
Extern
GIPS
Andere
Intern
Extern
GIPS
Andere

Disclaimer

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 and subsidiaries. This document is advertising material is intended to provide the reader with information on Nordea’s specific capabilities. This document (or any views or opinions expressed in this document) does not amount to an investment advice nor does it constitute a recommendation to invest in any financial product, investment structure or instrument, to enter into or unwind any transaction or to participate in any particular trading strategy. This document is not an offer to buy or sell, or a solicitation of an offer to buy or sell any security or instruments or to participate to any such trading strategy. Any such offering may be made only by an Offering Memorandum, or any similar contractual arrangement. This document contains information only intended for professional investors and eligible investors and is not intended for general publication. © The Legal Entities adherent to Nordea Asset Management and any of the Legal Entities’ branches and/or subsidiaries.