Sparinvest
Sparinvest is a Luxembourg-headquartered asset management firm managing approximately DKK 465 billion across 14 European countries. It offers conviction-led value strategies in equities, fixed income, and balanced funds to institutional investors and Danish bank distribution channels.
- Company typePrivate
- Founded1968
- HeadquartersLuxembourg, Luxembourg
- Headcount51–100
- GTM typeB2B
- OfferingServices
What Sparinvest does
Sparinvest is a Luxembourg-headquartered asset management firm that provides professional investment management services to professional and institutional investors across Europe. Founded in 1968 in Denmark as the country’s first mutual fund, the firm now operates under the holding company Sparinvest Holdings SE (parent entity migrated back to Denmark in May 2026) and is majority-owned (75%) by Nykredit since August 2019, with the remaining 25% held by Danish commercial banks and insurance companies. The firm employs approximately 75 people across offices in Luxembourg, Copenhagen, and Randers, plus a Paris representation office.
The company’s product platform is organized around five core investment strategies: Value Equities (fundamental long-term value investing in developed and emerging markets), Corporate Bonds (factor-based Investment Grade and High Yield credit selection), Fixed Income (Danish government and covered bonds across short, medium, and long duration profiles), Strategic Asset Allocation (combining long-horizon allocation with the proprietary CLI economic climate model for tactical positioning across Expansion, Slowdown, Recession, and Recovery phases), and Convertible Bonds (quantitative factor-based convertible bond strategy). Strategies are delivered through Luxembourg-domiciled Sparinvest SICAV, Danish Værdipapirfonden Sparinvest, and Investeringsforeningen Sparinvest (41 fund departments), plus an INDEX passive family and balanced Balance/Procedo/Securus funds. Total capital under management is approximately DKK 465 billion, distributed across 14 European countries.
The business model is recurring fee-based revenue on AUM across UCITS and AIF fund vehicles. Go-to-market is sales-led and bifurcated: retail and SMB distribution flows through Danish commercial banks selling Sparinvest investment certificates with investment advice, while institutional clients are served directly through Luxembourg headquarters and regional sales directors covering the Nordics, France/Belgium/Italy/Spain, Germany/Austria, and Luxembourg/Netherlands. ESG integration is universal across active and passive strategies (since 2012). US Persons are restricted from purchasing Sparinvest products.
Sparinvest firmographics
Firmographics- Name
- Sparinvest
- Legal name
- Sparinvest S.A.
- Website
- https://sparinvest.eu
- Company type
- Private
- Founded year
- 1968
- Operating status
- Operating
- Headcount range
- 51–100 employees
- Short description
- Sparinvest is a Luxembourg-headquartered asset management firm managing approximately DKK 465 billion across 14 European countries. It offers conviction-led value strategies in equities, fixed income, and balanced funds to institutional investors and Danish bank distribution channels.
- Ownership category
- akta.pro rank
Sparinvest industry classification
Industry- Product category
- Asset Management
- NAICS
- Portfolio Management and Investment Advice (52394), Open-End Investment Funds (525910), Portfolio Management and Investment Advice (523940)
- SIC
- Investment Advice (6282)
- akta.pro primary industry
- Large-Cap Equity (Active) (FSAAAIAA)
Keywords
Where Sparinvest is headquartered
LocationHeadquarters
- HQ city
- Luxembourg
- HQ country
- Luxembourg
- HQ region
- Europe
Offices4 records
Markets served
Sparinvest business model
Business model- GTM type
- B2B
- Offering type
- Services
- Cost components
- Personnel, Operations, Marketing or Sales, Technology or R&D, Infrastructure, Others
Revenue model
- Investment Management Fees: Revenue generated through management fees charged on investment funds including UCITS and AIF products. The company offers conviction-led asset management for long-term investors across multiple fund strategies.
Go-to-market motion1 record
Distribution channels3 records
Marketing channels3 records
Sparinvest product offering
Product offeringCore offering
Sparinvest provides professional asset management services globally through its fund range, offering active and passive investment strategies across equities, fixed income, and balanced/multi-asset funds. Core strategies include Value Equities, Corporate Bonds, Fixed Income, Strategic Asset Allocation, and Convertible Bonds, distributed primarily to professional and institutional investors through UCITS and AIF structures domiciled in Luxembourg and Denmark.
Product overview
Sparinvest operates as a conviction-led asset management company offering investment products through multiple fund structures. The core offering consists of Sparinvest SICAV (Luxembourg-domiciled umbrella fund), Værdipapirfonden Sparinvest (Danish fund), and Investeringsforeningen Sparinvest (Danish investment association). The product range spans five core investment strategies: Value Equities (fundamental long-term equity investing), Corporate Bonds (factor-based credit investing), Fixed Income (Danish government and covered bonds), Strategic Asset Allocation (multi-level tactical and strategic allocation), and Convertible Bonds (quantitative factor investing). Additional offerings include the INDEX fund family for passive exposure and risk-tiered balanced funds. The company manages approximately DKK 465 billion in assets across 14 European countries, primarily serving professional investors through distribution partnerships with Danish banks and institutional investors.
Differentiator
Problem solved
Functional benefit
Products and services
- Value Equities Strategy
- Corporate Bonds Strategy Factor-based corporate bond investment combining Investment Grade and High Yield bonds globally, using quantitative analysis applying value, quality and small cap factors to deselect companies with higher probability of default. Targeted at professional and institutional investors.
- Fixed Income Strategy Danish government bond and covered bond funds offered across risk levels and duration profiles, including Korte Obligationer (short-dated), Mellemlange obligationer (medium-dated), and Lange obligationer (long-dated) funds. Targeted at professional and institutional investors seeking stable duration management.
- Strategic Asset Allocation (SAA) Multi-level asset allocation service combining strategic long-term allocation (1-5 years) with tactical short-term allocation, using the proprietary CLI model to assess economic climate across Expansion, Slowdown, Recession, and Recovery phases. Built for professional and institutional investors.
- Convertible Bonds Strategy Quantitative global convertible bond strategy using value, quality, and small cap factors through long-only investments, targeting diversified factor exposures with convex risk/reward profiles. Targeted at professional and institutional investors.
- Sparinvest SICAV Luxembourg-domiciled SICAV (Société d'Investissement à Capital Variable) umbrella fund structure containing multiple sub-funds across equity, bond, and mixed-asset strategies, authorized for public distribution in multiple European jurisdictions. Targeted at professional and institutional investors across Europe.
- Værdipapirfonden Sparinvest Danish-domiciled investment fund umbrella structure offering bond, equity, and sustainable investment strategies traded on Nasdaq Copenhagen. Targeted at Danish professional investors and bank-distributed clients.
- Investeringsforeningen Sparinvest Danish investment association offering 41 fund departments spanning bond, equity, and mixed-asset funds for professional investors, traded on Nasdaq Copenhagen.
- INDEX Funds Index-tracking fund family including INDEX Globale Aktier KL (Global Equities), INDEX Emerging Market Bonds Lokalvaluta (Emerging Market Bonds), INDEX Bæredygtige Virksomhedsobligationer HY KL (Sustainable Corporate Bonds High Yield), and risk-tiered INDEX Lav Risiko KL, INDEX Mellem Risiko KL, and INDEX Høj Risiko KL funds. Targeted at professional investors seeking passive exposure.
- Balance, Procedo, and Securus Funds Mixed-asset balanced funds available in both EUR and DKK denominations, offered through the Sparinvest SICAV structure. Targeted at professional and institutional investors seeking diversified multi-asset exposures.
Companies that use Sparinvest
Customer profileNamed customers2 records
Segments3 records
Ideal customer profiles2 records
Sparinvest technology and API
TechnologyTechnology focussed No
API detail
- Has API
- No
- API docs
- API detail
Core technology
AI maturity
App detail
Feature5 records
Sparinvest partnerships and signals
Strategic signalScale indicators4 records
Recent moves12 records
Expansion highlights4 records
Sparinvest competitors and assessment
Company assessmentDirect peers
- Brandes Investment Partners: US-based value-oriented asset manager that signed a 'Value Alliance' partnership with Sparinvest in 2011. Directly comparable as a long-tenured global value equities manager targeting institutional and professional investors.
- Nordea Investment Funds (Nordea Invest): Nordic asset manager with whom Sparinvest had a historical merger/de-merger (1989-1990). Operates UCITS and AIF fund structures across Europe with a comparable mix of equity, fixed income and balanced strategies.
- Jyske Invest: Danish asset management company offering UCITS and Danish-domiciled investment funds distributed through Jyske Bank. Direct Danish competitor to Sparinvest's ID-Sparinvest in the same retail bank distribution model.
- SEB Investment Management: Large Nordic/European asset manager within the SEB banking group, offering actively managed equity, fixed income and balanced funds distributed across the Nordics and Europe — directly comparable institutional and retail product set.
- Danske Invest: Asset management arm of Danske Bank, one of the largest Nordic asset managers with a broad UCITS fund range distributed through Danske Bank branches — a close analogue to Sparinvest's Danish bank distribution model.
- Robeco: Dutch asset manager with strong value, quantitative and sustainable investment capabilities distributed across Europe. Comparable as a European mid-to-large asset manager running multi-strategy active and quantitative products.
Broad incumbents
- Amundi: One of Europe's largest asset managers, offering active, passive and factor-based strategies across UCITS, AIF and institutional mandates. Relevant as a broad incumbent competitor in the same pan-European fund distribution channels.
- DWS Group: Major European asset manager (Deutsche Bank Group) with active, passive and ESG funds distributed across Europe including Germany/Austria where Sparinvest has regional representation. Comparable broad incumbent with overlapping strategy universe.
Regional players
- ODDO BHF Asset Management: Franco-German asset manager offering European equities, fixed income and balanced funds distributed primarily in France, Germany and surrounding markets. Comparable as a regional European competitor with active value-style capabilities.
Emerging players
- Lazard Asset Management: Global active asset manager with strong fundamental and value-oriented equity strategies sold to European institutional and retail clients. Comparable in investment philosophy and cross-border UCITS distribution model.
Market position
Strengths5 records
Weaknesses5 records
Competitive moat4 records
Key risks5 records
Key highlights7 records
Customer concentration
Sparinvest social profiles
Digital presenceSparinvest financial estimates
Financial estimateRevenue estimate
Valuation estimate
Sparinvest leadership team
Management profileNumber of profiles
Profiles6 records
Sparinvest subsidiaries and ownership
Company hierarchySubsidiaries2 records
Sparinvest funding detail
Funding detailFunding overview
Funding rounds
Investors
Funding detail is available on the Subscription and Enterprise plan.Contact sales →
Sparinvest 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 Sparinvest
What does Sparinvest do?
Sparinvest provides professional asset management services globally through its fund range, offering active and passive investment strategies across equities, fixed income, and balanced/multi-asset funds. Core strategies include Value Equities, Corporate Bonds, Fixed Income, Strategic Asset Allocation, and Convertible Bonds, distributed primarily to professional and institutional investors through UCITS and AIF structures domiciled in Luxembourg and Denmark.
Is Sparinvest a public or private company?
Sparinvest is a private company. It is classified as corporate owned and is currently operating.
When was Sparinvest founded?
Sparinvest was founded in 1968. It employs 51 to 100 people.
Where is Sparinvest based?
Sparinvest is headquartered in Luxembourg, Luxembourg, in the Europe region.
How does Sparinvest make money?
One revenue line is on record: investment Management Fees.
Who are Sparinvest's main competitors?
Direct peers on record are Brandes Investment Partners, Nordea Investment Funds (Nordea Invest), Jyske Invest, SEB Investment Management, Danske Invest and Robeco. Broad incumbents are Amundi and DWS Group. ODDO BHF Asset Management is listed as a regional player. Lazard Asset Management is listed as an emerging player.
Does Sparinvest have an API?
No public API is recorded for Sparinvest.
What industry is Sparinvest in?
Sparinvest's product category is Asset Management. Its primary akta.pro industry code is FSAAAIAA, Large-Cap Equity (Active). Its NAICS code is 52394 and its SIC code is 6282.