Nordea Asset Management
Nordea Asset Management is a privately-held Nordic asset manager providing ESG-integrated equity, fixed income, and multi-asset solutions to institutional investors (pension funds, insurance companies) and wholesale distributors across Europe, the UK, Singapore, and the US.
- Company typePrivate
- Founded1998
- HeadquartersLuxembourg, Luxembourg
- Headcount501–1,000
- GTM typeB2B
- OfferingServices
What Nordea Asset Management does
Nordea Asset Management (NAM) is the Luxembourg-domiciled, privately-held asset management division of the Nordea group, operating through legal entities Nordea Investment Funds S.A. and Nordea Investment Management AB across ten European jurisdictions plus the UK, Singapore, and the US. The firm manages institutional and wholesale investment solutions spanning global equities, fixed income, and multi-asset strategies, with a ~EUR 40bn covered bond book as a disclosed anchor segment. Its product platform centres on the Global Stars Equity Strategy, BetaPlus Strategies (expanding from equities into fixed income), the Empower Europe strategy, and a suite of thematic and engagement-led strategies including the Global Climate Transition Engagement Strategy and Global Diversity Engagement Strategy, with all offerings integrated into a 35+ year ESG and active-ownership framework.
The business model is a recurring asset-management fee model, charging negotiated management fees on AUM for institutional clients (pension funds, insurance companies) and wholesale distribution partners (financial advisors, wealth managers) across European and Asia-Pacific markets. Distribution combines direct institutional sales relationship managers with a multi-country wholesale channel. Nordea Asset Management has no public listing; it is wholly owned by NAM Holding AB and operates as one of the largest asset managers in the Nordics, ranked 1st in Scandinavia and 5th globally by the 2025 Responsible Investments Brand Index, with maximum UNPRI 5-star ratings for Investment & Stewardship policy and Policy, Governance and Strategy.
Nordea Asset Management firmographics
Firmographics- Name
- Nordea Asset Management
- Legal name
- 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 and their branches, subsidiaries and representative offices
- Website
- https://nordeaassetmanagement.com
- Company type
- Private
- Founded year
- 1998
- Operating status
- Operating
- Headcount range
- 501–1,000 employees
- Short description
- Nordea Asset Management is a privately-held Nordic asset manager providing ESG-integrated equity, fixed income, and multi-asset solutions to institutional investors (pension funds, insurance companies) and wholesale distributors across Europe, the UK, Singapore, and the US.
- Ownership category
- akta.pro rank
Nordea Asset Management industry classification
Industry- Product category
- Asset Management
- NAICS
- Portfolio Management and Investment Advice (523940), Securities, Commodity Contracts, and Other Financial Investments and Related Activities (523), Open-End Investment Funds (525910), Pension Funds (52511)
- SIC
- Security Brokers, Dealers & Flotation Companies (6211), Security & Commodity Brokers, Dealers, Exchanges & Services (6200)
- akta.pro primary industry
- ESG Reporting, Disclosure & Regulatory Compliance (SFDR, EU Taxonomy, TCFD/ISSB) (FSAAALAK)
- akta.pro secondary industry
- Multi-Asset Solutions for Institutional (Pensions/Endowments/Sovereigns) (FSAAAJAJ)
Keywords
Where Nordea Asset Management is headquartered
LocationHeadquarters
- HQ city
- Luxembourg
- HQ country
- Luxembourg
- HQ region
- Europe
Offices10 records
Markets served
Nordea Asset Management business model
Business model- GTM type
- B2B
- Offering type
- Services
- Cost components
- Personnel, Operations, Technology or R&D, Marketing or Sales, Infrastructure, Others
Revenue model
- Asset Management Fees: Nordea Asset Management generates revenue through management fees charged on assets under management across its range of investment solutions including equities, fixed income, and multi-asset strategies. The firm manages investments for institutional and wholesale distribution clients.
Go-to-market motion1 record
Distribution channels2 records
Marketing channels6 records
Nordea Asset Management product offering
Product offeringCore offering
Nordea Asset Management provides investment solutions to institutional and wholesale clients, managing equity, fixed income, and multi-asset strategies with deep ESG integration. Core offerings include the Global Stars Equity Strategy, BetaPlus sustainable strategies, Empower Europe Strategy, Emerging Sustainable Stars Equity Strategy, and a Covered Bond fixed income platform managing approximately EUR 40 billion. The firm differentiates through 35+ years of responsible investing, active ownership, and themed engagement programs on climate, diversity, methane, and pharmaceutical water pollution.
Product overview
Nordea Asset Management operates as a multi-product investment management firm offering a comprehensive suite of investment solutions across equities and fixed income. The core product portfolio includes the Global Stars Equity Strategy and BetaPlus Strategies for sustainable equities, alongside the Empower Europe Strategy and Emerging Sustainable Stars Equity Strategy for regional and thematic exposure. Fixed income offerings center on Covered Bond Strategies managing approximately EUR 40bn. The firm differentiates through specialized engagement strategies including the Global Climate Transition Engagement Strategy targeting decarbonization in high-emitting sectors, the Global Diversity Engagement Strategy focusing on gender equality, the Methane Engagement Campaign, and Pharma Water Pollution Engagement addressing environmental responsibility in supply chains. All products integrate the firm's 35+ year ESG and responsible investment capabilities, with active ownership through engagement and voting at around 3,400 General Meetings annually.
Differentiator
Problem solved
Functional benefit
Products and services
- Global Stars Equity Strategy Global equity strategy focused on bottom-up fundamental analysis with integrated ESG assessment, combining quantitative models with proprietary ESG evaluation to deliver competitive long-term returns. Built for institutional and wholesale investors seeking global equity exposure with embedded ESG.
- BetaPlus Strategies Sustainable investment strategies that leverage Nordea Asset Management's responsible investing expertise, initially focused on equities and now expanding to fixed income capabilities. Selected from over 70 contenders in competitive institutional mandates.
- Responsible Investment (RI) Solutions Comprehensive responsible investment services including ESG integration, active ownership through engagement and voting, norms-based screening, and sustainability-themed investing, supporting institutional and wholesale clients' ESG mandates.
- Covered Bond Strategies Fixed income solutions focused on covered bonds, spanning from classic long-only to absolute return approaches, with approximately EUR 40 billion in assets under management. Built for institutional and wholesale clients seeking European fixed income exposure.
- Global Climate Transition Engagement Strategy Climate-focused equity strategy targeting 'improver' companies with credible decarbonisation plans in high-emitting sectors such as cement, steel, utilities, and waste management, achieving 24 tonnes of CO2 reduction per million euros invested.
- Global Diversity Engagement Strategy Global equity portfolio launched in 2019 investing in diversity leaders and engaging with companies at earlier stages of their diversity journey, using a proprietary diversity overlay scoring framework covering leadership diversity, talent pipeline, inclusion, and change.
- Empower Europe Strategy Equity strategy investing in companies driving Europe's strategic autonomy across three themes: energy resilience, reshoring production, and defence and cybersecurity.
- Emerging Sustainable Stars Equity Strategy Emerging markets equity strategy focusing on companies with sustainable practices, including a dedicated Emerging Ex China variant, targeting growth and diversification opportunities with integrated ESG analysis.
- Sustainable Thematic Strategies Thematic investment strategies focused on specific sustainability issues such as climate change, eco-efficiency, and health, with ESG analysis integrated across holdings and managed by a 15-person sustainable thematic team.
Quantifiable outcome
- 24 tonnes of CO2 saved per million euros invested through Global Climate Transition Engagement Strategy
- +3 more outcomes
Companies that use Nordea Asset Management
Customer profileNamed customers1 record
Segments2 records
Ideal customer profiles2 records
Nordea Asset Management technology and API
TechnologyTechnology focussed No
API detail
- Has API
- No
- API docs
- API detail
Core technology
AI maturity
App detail
Feature4 records
Nordea Asset Management partnerships and signals
Strategic signalPartnerships
19 partnerships are on record, tiered core and minor.
- 46 Institutional Investors Coalition on EU ETScoreNordea Asset Management joined 46 investors managing EUR 12 trillion in assets in publishing a joint statement urging European lawmakers to strengthen and maintain the EU Emissions Trading System (ETS), calling for 'evolution not dilution' of carbon market rules ahead of the European Council meeting.
- Nordic Institutional Investors on Arctic Fossil FuelscoreNordic institutional investors including Sampension, PenSam, and Nordea Asset Management submitted a letter to the EU urging it to maintain and reinforce protections against new oil and gas infrastructure in the Arctic.
- Climate Action 100+coreInvestor initiative to ensure the world's largest corporate greenhouse gas emitters take necessary action on climate change. Nordea is a participating investor in this initiative.
- Nature Action 100+coreInvestor initiative focused on biodiversity and nature-related risks. Nordea participates as an engaged investor addressing nature and biodiversity impacts.
- NAM Methane Engagement CampaigncoreCollaborative engagement of approximately 20 investors focused on enhancing disclosures and reducing company methane emissions to near zero within the energy, utilities and waste management sectors. Won 2024 PRI Award for this initiative.
- Principles for Responsible Investment (PRI)coreUN-supported investment initiative to incorporate ESG in investment processes. NAM receives top scores (5 stars) for Investment & Stewardship policy and Policy, Governance and Strategy.
- Carbon Disclosure Project (CDP)coreRuns the largest global disclosure system for investors, companies, cities, states and regions to manage their environmental impacts. NAM is a participant.
- Institutional Investors Group on Climate Change (IIGCC)coreA forum for investors to collaborate on climate change. NAM participates in this European investor network on climate issues.
- Task Force on Climate-related Financial Disclosures (TCFD)coreNAM is an official supporter of TCFD, which provides recommendations for climate-related financial disclosures to encourage companies to report on climate-related risks and opportunities.
- Finance for Biodiversity PledgecoreCommitment of 84 financial institutions representing EUR 12.6 trillion in AuM to protect and restore biodiversity through finance activities. NAM has committed to the five-step pledge including collaborating, engaging, assessing, setting targets, and reporting.
- Net Zero Asset Managers InitiativecoreFounding member since December 2020, committing to support the goal of net zero emissions by 2050 in line with global efforts to limit warming to 1.5 degrees through investments.
- Pharmaceutical Supply Chain Initiative (PSCI)coreIndustry-led organization aimed at establishing and promoting responsible practices for pharma supply chains. NAM is the only investor member of PSCI's Advisory Panel since 2018, engaging on pharma water pollution in India.
- International Corporate Governance Network (ICGN)minorNetwork promoting effective standards of corporate governance and investor stewardship to advance efficient markets and sustainable economies worldwide.
- IFRS Sustainability AlliancecoreFounding member of the ISSB Investor Advisory Group (IIAG), previously SASB's Investor Advisory Group. NAM leads disclosure engagements with companies and demonstrates how SASB standards are used by investors.
- Corporate Human Rights BenchmarkminorBenchmark that ranks globally listed companies on their human rights policy, process and performance.
- Pharmaceutical Supply Chain Initiative (PSCI)coreNAM engaged with PSCI which developed an action plan addressing pharmaceuticals in Indian manufacturing following NAM's reports on pharma pollution. As the only investor member of PSCI's Advisory Panel, NAM continues to meet regularly with pharma industry leaders.
- NestlécoreNAM began engaging with Nestlé in 2018 on agricultural practices supporting long-term food security, focusing on supply chain transparency, biodiversity protection, and soil health. Nestlé has achieved 97.9% traceability rate for deforestation-linked ingredients and has SBTi-validated net-zero targets.
- World Water Week ConferenceminorNAM has co-hosted AMR and water pollution events at the World Water Week Conference in Stockholm for three consecutive years.
- AMR BenchmarkminorNAM is a member of the Expert Committee of The AMR Benchmark, which tracks how 30 large pharmaceutical companies are managing drug resistance including responsible manufacturing.
Scale indicators9 records
Recent moves6 records
Expansion highlights6 records
Nordea Asset Management competitors and assessment
Company assessmentDirect peers
- Handelsbanken Fonder: Swedish fund company part of Handelsbanken group offering ESG-screened equity and fixed income funds to Nordic institutional and retail clients; comparable to NAM in Nordic parent-bank ownership and ESG-integrated product suite.
- DNB Asset Management: Norway-based asset management arm of DNB Bank serving institutional and retail clients across the Nordics with sustainability-integrated strategies; comparable to NAM in regional footprint, parent-bank subsidiary structure, and ESG-integrated product range.
- Storebrand Asset Management: Leading Nordic asset manager owned by Storebrand group with deep ESG/sustainable investment focus and institutional distribution across the Nordics; directly comparable to NAM in strategy mix, ESG positioning, and Nordic institutional client base.
- Swedbank Robur: Sweden's largest asset manager and a Swedbank subsidiary offering sustainable equity, fixed income and multi-asset strategies to Nordic institutional and retail clients; directly overlaps NAM on product mix, ESG focus, and Nordic institutional channel.
- KLP Kapitalforvaltning: Norwegian pension-owned asset manager with strong sustainable investment capabilities and large Nordic institutional AUM; comparable to NAM as a Nordic-domiciled, ESG-led institutional manager serving pension clients.
- Danske Invest: Danish-headquartered asset manager owned by Danske Bank offering sustainable and traditional strategies across asset classes to Nordic and European clients; overlaps NAM on Nordic bank-owned structure, multi-asset platform, and ESG-integrated fund range.
Broad incumbents
- Schroders: Global asset manager with a strong sustainable investment franchise and large European institutional AUM; competes with NAM for European ESG mandates at a larger scale and broader geographic reach.
- Legal & General Investment Management (LGIM): UK-headquartered institutional asset manager with sizeable European pension and insurance client base and growing ESG/climate product range; overlaps NAM in European institutional fixed income and sustainable strategies.
- BlackRock: World's largest asset manager with extensive sustainable investment capabilities through its stewardship and ESG teams; represents the ultimate scale competitor that NAM faces in global institutional tenders.
- UBS Asset Management: Large global asset manager with a strong sustainable and impact investing franchise and significant European institutional presence; competes with NAM for pan-European ESG mandates and wholesale distribution.
Market position
Strengths5 records
Weaknesses5 records
Competitive moat5 records
Key risks6 records
Key highlights7 records
Customer concentration
Nordea Asset Management social profiles
Digital presenceNordea Asset Management compliance and trust
Trust signalCompliance10 records
Nordea Asset Management financial estimates
Financial estimateRevenue estimate
Valuation estimate
Nordea Asset Management leadership team
Management profileNumber of profiles
Profiles10 records
Nordea Asset Management subsidiaries and ownership
Company hierarchySubsidiaries2 records
Nordea Asset Management funding detail
Funding detailFunding overview
Funding rounds
Investors
Funding detail is available on the Subscription and Enterprise plan.Contact sales →
Nordea Asset Management M&A and investment
M&A and investmentM&A
Investments
M&A and investment is available on the Subscription and Enterprise plan.Contact sales →
Frequently asked questions about Nordea Asset Management
What does Nordea Asset Management do?
Nordea Asset Management provides investment solutions to institutional and wholesale clients, managing equity, fixed income, and multi-asset strategies with deep ESG integration. Core offerings include the Global Stars Equity Strategy, BetaPlus sustainable strategies, Empower Europe Strategy, Emerging Sustainable Stars Equity Strategy, and a Covered Bond fixed income platform managing approximately EUR 40 billion. The firm differentiates through 35+ years of responsible investing, active ownership, and themed engagement programs on climate, diversity, methane, and pharmaceutical water pollution.
Is Nordea Asset Management a public or private company?
Nordea Asset Management is a private company. It is classified as corporate owned and is currently operating.
When was Nordea Asset Management founded?
Nordea Asset Management was founded in 1998. It employs 501 to 1,000 people.
Where is Nordea Asset Management based?
Nordea Asset Management is headquartered in Luxembourg, Luxembourg, in the Europe region.
How does Nordea Asset Management make money?
One revenue line is on record: asset Management Fees.
Who are Nordea Asset Management's main competitors?
Direct peers on record are Handelsbanken Fonder, DNB Asset Management, Storebrand Asset Management, Swedbank Robur, KLP Kapitalforvaltning and Danske Invest. Broad incumbents are Schroders, Legal & General Investment Management (LGIM), BlackRock and UBS Asset Management.
Does Nordea Asset Management have an API?
No public API is recorded for Nordea Asset Management.
What industry is Nordea Asset Management in?
Nordea Asset Management's product category is Asset Management. Its primary akta.pro industry code is FSAAALAK, ESG Reporting, Disclosure & Regulatory Compliance (SFDR, EU Taxonomy, TCFD/ISSB), with a secondary code of FSAAAJAJ, Multi-Asset Solutions for Institutional (Pensions/Endowments/Sovereigns). Its NAICS code is 523940 and its SIC code is 6211.