Leading investment manager in the Nordic Region
Solutions designed to meet clients’ needs while delivering long-term returns.
assets held in your own name at
assets held in your own name at
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關於
Nordea Asset Management
Founded in 2001 and headquartered in Copenhagen, Nordea Asset Management (NAM) is part of the Nordea Bank Group, the largest financial services group in the Nordic region. As of 30 September 2022, the firm managed EUR237 billion across global asset classes for sophisticated investors around the world. The firm manages a range of strategies across Fixed Income, Equity, Multi-Asset and Alternatives.
In addition to being the leading investment manager in the Nordic Region, Nordea has a global presence of 18 offices, strategically located in the major financial cities across Europe, the Americas (including Latin America) and Asia. A total of 900 people are employed in asset management, of which 1/3 are dedicated investment specialists within four investment centres in Bergen, Copenhagen, Helsinki and Stockholm.
Our 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 performance in a stable way for the benefit of our clients.
獨到之處
Nordea Asset Management
A pioneer in ESG: Nordea is a recognised leader in ESG and Sustainability, where we begun our ESG journey over 30 years’ ago with our first sector-screened strategy in 1988. Since then, we have established a strong Responsible Investment governance framework, and our Responsible Investments (RI) team is one of the largest in Europe. Nordea continues to develop innovative solutions in ESG and works to deliver returns responsibly.
- Fundamental bottom-up research is our core expertise, finding fundamental inefficiencies in the market over a full investment cycle.
- Our RI team created a decade ago, which is among the largest in Europe. Along with the Nordea sustainable finance team this translates into around 30 professionals focusing on sustainable finance and RI matters
- Our proprietary ESG scoring model was developed 9 years ago and has been continuously enhanced since then. Our model is key to understanding tomorrow’s winners.
- Our ESG integration is one of the most advanced in the market. The ESG profile of a company has a direct impact on our internal valuations of our holdings, highlighting the effective partnership between the RI and Portfolio Management teams.