Nordic Bonds

Nordic Fixed Income is one of our major strengths at Danske Bank Asset Management, where we have a broad portfolio of strategies actively managed by portfolio teams with a local presence in each of the Nordic countries.

Danish Fixed Income

Danish mortgage bonds are the main focus in our Danish Fixed Income strategies. We have a leading position within Danish mortgage bonds and our portfolio team oversees a broad range of actively managed strategies, with some navigating according to an absolute return target and others according to a duration target.

 Swedish Fixed Income  

We have two main Swedish Fixed Income strategies; a short duration money market strategy and a bond strategy. Swedish covered bonds (mortgages) and Swedish government bonds are the main universe in our Swedish Fixed Income strategies. We also manage a Swedish Inflation Linked Bond strategy.

Norwegian Fixed Income 

We have two main Norwegian Fixed Income strategies; a short duration money market strategy and a bond strategy. Our Norwegian Fixed Income team invests in securities issued or guaranteed by the government, municipalities, counties, corporates or financial institutions.

Finnish Fixed Income 

We have two main Finnish Fixed Income strategies; a short duration money market strategy and a bond strategy. The investment universe is short-term fixed income instruments issued by banks, municipalities and governments and bonds and other interest-bearing securities primarily issued by governments in the European Economic Area.

Nordic Corporate Bonds strategy 

Our Nordic Corporate Bonds strategy is a corporate bond strategy geographically concentrated on Nordic issuers. The strategy is based on our well-established and successful strategies for European Investment Grade and European High Yield bonds, i.e. selecting bonds and constructing portfolios with diversified risk exposure while aiming to deliver excess returns.

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