Nykredit Asset Management
Nykredit Asset Management is the asset management arm of the Nykredit group, and our competencies build on a solid foundation dating back to 1983.
Danish Mortgage Bonds
Nykredit Asset Management’s strategy in Danish mortgage bonds is to exploit the enormously wide range of bonds in the Danish market.
The basic philosophy behind Nykredit Asset Management’s hedge Fund strategies is to isolate the core value of covered bonds.
As a natural continuation of its business concept Financial Sustainability, Nykredit Asset Management has drawn up a sustainable investments policy.
Nykredit Asset Management’s global equity investment philosophy builds on the belief that by having a structured approach to assessing the fundamental value and quality of companies, long term outperformance can be generated.
Nykredit Asset Management’s investment philosophy of investment grade builds on the belief that a structured approach to assessing the long term market themes and trends driving the credit market can lead to long term consistent outperformance.