Because of its size and history, Danske Invest is able to select some of the best portfolio managers to manage its funds’ investments – both in the Nordic countries and in the rest of the world, and at competitive prices. Our universe of funds comprises both index funds and actively managed funds, and Danske Invest constantly adjusts its offering of funds so investors always have access to relevant and attractive funds managed by best-in-class portfolio managers.
Moreover, Danske Invest integrates responsibility into its management of investors’ money. ESG factors constitute part of the decision-making process when portfolio managers select investments, and Danske Invest also engages in dialogue with portfolio companies, seeking to influence them towards integrating responsibility into their business while supporting positive development and growth in the companies. We are convinced this helps to secure investors attractive and more stable long-term returns and contributes positively to society.
Go to our local sites to learn more: