SparDanmark Invest
SparDanmark Invest is a Danish investment fund association offering four mixed-asset funds (Konservativ, Balance, Offensiv, Vækst) of equities, bonds, and alternatives, distributed exclusively through Sparekassen Danmark to retail and corporate investors in Denmark.
- Company typePublic
- Founded2020
- HeadquartersVrå, Denmark
- Headcount1,001–5,000
- GTM typeB2C
- OfferingServices
What SparDanmark Invest does
SparDanmark Invest (legal name Investeringsforeningen SparDanmark Invest) is a Danish investment fund association founded on November 30, 2020, and headquartered in Randers C, Denmark. The association issues and manages four mixed-asset funds spanning the risk spectrum: Konservativ (~20% equities, risk class 2), Balance (~40% equities, risk class 3), Offensiv (~60% equities, risk class 3), and Vækst (~85% equities, risk class 4). Each fund invests across global equities, bonds, and up to 15% in alternative investments such as real estate and infrastructure, with active allocation and rebalancing by Sparekassen Danmark's Markets team. All four funds have been listed on Nasdaq Copenhagen since June 15, 2023, providing secondary-market liquidity, and all four funds are classified under Article 8 of the EU's Sustainable Finance Disclosure Regulation.
The business operates with no minimum investment threshold and earns revenue primarily through an ongoing management and administration fee of approximately 1.15% per year on assets under management, augmented by 0.15% transaction costs and 0.30% entry and exit charges; there is no performance fee and no distribution commission paid to the distributing bank. As of June 2026, AUM stood at 9.8 billion DKK across more than 18,000 investor accounts, up from 8.4 billion DKK at end-2025 and 6,000 investors in May 2024. Distribution is conducted exclusively through Sparekassen Danmark via its branch advisory network, netbank and mobile banking platforms, with market-making provided by Sydbank and depository services by JP Morgan. Administration is handled by ID-Sparinvest and Nykredit Portefølje Administration, VP Securities A/S registers investor ownership, and EY serves as external auditor.
The target customer base is concentrated in Danish retail investors seeking professionally managed diversified portfolios, including free-fund, pension, and children's savings vehicles, alongside a smaller cohort of corporate treasury investors. Service features such as dividend reinvestment, periodic automated investing, and pension withdrawal cash coverage are embedded at the fund level. Governance is exercised by a four-member board elected annually, chaired by Ulla Skov, with Ulla Skov, Jakob Goul Rømsgaard, Hans-Jørgen Borup Kastberg re-elected and former Sparekassen Danmark CEO Vagn Hansen newly elected at the April 2026 general meeting.
SparDanmark Invest firmographics
Firmographics- Name
- SparDanmark Invest
- Legal name
- Investeringsforeningen SparDanmark Invest
- Website
- https://spardanmarkinvest.dk
- Company type
- Public
- Founded year
- 2020
- Operating status
- Operating
- Headcount range
- 1,001–5,000 employees
- Short description
- SparDanmark Invest is a Danish investment fund association offering four mixed-asset funds (Konservativ, Balance, Offensiv, Vækst) of equities, bonds, and alternatives, distributed exclusively through Sparekassen Danmark to retail and corporate investors in Denmark.
- Ownership category
- akta.pro rank
SparDanmark Invest industry classification
Industry- Product category
- Investment Fund Management
- NAICS
- Portfolio Management and Investment Advice (523940), Open-End Investment Funds (525910)
- SIC
- Investment Advice (6282)
- akta.pro primary industry
- Multi-Asset & Allocation ETFs (Balanced, Target Risk) (FSAAAFAF)
Keywords
Where SparDanmark Invest is headquartered
LocationHeadquarters
- HQ city
- Vrå
- HQ country
- Denmark
- HQ region
- Europe
Offices1 record
Markets served
SparDanmark Invest business model
Business model- GTM type
- B2C
- Offering type
- Services
- Cost components
- Operations, Personnel, Technology or R&D, Marketing or Sales, Infrastructure
Revenue model
- Management fees: Revenue generated through ongoing management fees embedded in the ongoing costs charged to investors (approximately 1.15% annually), which cover portfolio management, administration, depository services, and other operational expenses.
Pricing tiers
| Model | Billing | Price |
|---|---|---|
| Subscription | Annual | All four funds share the same fee structure |
Go-to-market motion1 record
Distribution channels3 records
Marketing channels7 records
SparDanmark Invest product offering
Product offeringCore offering
SparDanmark Invest is a Danish investment association offering four mixed-asset mutual funds (Konservativ, Balance, Offensiv, and Vækst) that invest in combinations of equities, bonds, and alternative investments including real estate and infrastructure. The funds provide professionally managed, diversified portfolios with no minimum investment requirement, and are distributed exclusively through Sparekassen Danmark with listings on Nasdaq Copenhagen.
Product overview
SparDanmark Invest is an investment association (investeringsforening) offering four mixed funds - Konservativ, Balance, Offensiv, and Vækst - that invest in combinations of equities, bonds, and alternative investments such as real estate and infrastructure. The funds are distributed exclusively through Sparekassen Danbank and listed on Nasdaq Copenhagen. The portfolio management is handled by Sparekassen Danmark, with administration by ID-Sparinvest and custody by JP Morgan. The four funds range from conservative (20% equity, risk class 2) to growth-oriented (85% equity, risk class 4), providing investors with options based on their risk tolerance and investment horizon. The association also offers service features including dividend reinvestment and periodic investment plans.
Differentiator
Problem solved
Functional benefit
Brands
- SparDanmark Invest Konservativ: A conservative fund targeting cautious investors with low risk tolerance and/or short investment horizon. Has approximately 20% equity allocation (10-30% range), up to 15% in alternatives, and the remainder in bonds. Aims for risk class 2.
- SparDanmark Invest Balance
- SparDanmark Invest Offensiv
- SparDanmark Invest Vækst
Products and services
- SparDanmark Invest Konservativ A conservative mixed fund targeting cautious investors with low risk tolerance and/or short investment horizon. It has a base equity allocation of 20% (range 10-30%), up to 15% in alternative investments such as real estate and infrastructure, and the remainder in bonds. Aims for risk class 2.
- SparDanmark Invest Balance A balanced mixed fund for investors wanting a slight overrepresentation of bonds for stability while seeking better return opportunities. It has a base equity allocation of 40% (range 30-50%), up to 15% in alternative investments. Aims for risk class 3.
- SparDanmark Invest Offensiv An offensive mixed fund for investors seeking equity overrepresentation to improve returns while maintaining some stability. It has a base equity allocation of 60% (range 50-75%), up to 15% in alternative investments. Aims for risk class 3.
- SparDanmark Invest Vækst A growth-oriented mixed fund targeting investors seeking high returns who can accept larger negative fluctuations. It has a base equity allocation of 85% (range 75-100%), up to 15% in alternative investments such as real estate and infrastructure. Aims for risk class 4.
Quantifiable outcome
- 2026 year-to-date returns between 4% and 10.1% across the four funds
- +2 more outcomes
Companies that use SparDanmark Invest
Customer profileNamed customers4 records
Segments2 records
Ideal customer profiles2 records
SparDanmark Invest technology and API
TechnologyTechnology focussed No
API detail
- Has API
- No
- API docs
- API detail
Core technology
AI maturity
App detail
SparDanmark Invest partnerships and signals
Strategic signalPartnerships
Six partnerships are on record, tiered core.
- Sparekassen DanmarkcoreExclusive distribution partner for SparDanmark Invest funds. Provides investment advisory services through branch network and manages portfolio management of the funds. Also provides free custody of securities in investor depots.
- JP MorgancoreServes as depotbank/custodian responsible for safekeeping of securities held by the investment funds.
- ID-Sparinvest / Nykredit Portefølje AdministrationcoreAdministration company responsible for daily administration and management of the investment association. Handles investor services, dividend payments, and regulatory compliance.
- SydbankcoreMarket maker for SparDanmark Invest funds listed on Nasdaq Copenhagen, ensuring liquidity for trading.
- EY Godkendt RevisionspartnerselskabcoreIndependent auditor providing annual audit services for the investment association's financial statements.
- VP Securities A/ScoreDanish securities depository that registers investor ownership of fund units and processes transactions.
Scale indicators5 records
Recent moves10 records
Expansion highlights4 records
SparDanmark Invest competitors and assessment
Company assessmentBroad incumbents
- BlackRock iShares: Global passive ETF provider with broad Danish retail availability. Not a direct mutual fund peer but a structural competitor applying fee and convenience pressure on active Danish balanced funds like SparDanmark Invest.
- PFA Pension: Large Danish pension and insurance provider with substantial in-house investment products. Competes for the same Danish household savings pool but via pension wrappers rather than pure mutual funds.
- Industriens Pension: Major Danish labour-market pension fund with internally managed multi-asset portfolios. Competes indirectly for the same Danish retail long-term savings wallet.
Direct peers
- Sparinvest: Danish/Nordic fund brand administered by ID-Sparinvest — the same administrator that services SparDanmark Invest. Direct structural and operational analogue with similar multi-asset fund products.
- BankInvest: Danish investment fund association distributed through multiple partner banks. Comparable mixed-asset fund range and Danish retail/wholesale distribution approach.
- Nykredit Invest: Investment fund association affiliated with Nykredit (which also handles SparDanmark Invest's administration via Nykredit Portefølje Administration). Same multi-asset balanced fund structure and Danish retail distribution model.
- Jyske Invest: Investment fund association distributed through Jyske Bank. Highly comparable as a regional Danish bank-tied multi-asset fund range covering the conservative-to-growth risk spectrum.
- Nordea Invest: Investment fund offering from Nordea Denmark. Same bank-distributed multi-asset fund concept and Danish retail customer base overlap.
- Danske Invest: Largest Danish investment fund association, distributed through Danske Bank branches and digital channels. Closest large-scale analogue to SparDanmark Invest's bank-tied multi-asset fund model.
- SEB Invest: SEB Denmark's investment fund range. Comparable bank-tied fund association model serving Danish retail and private banking clients.
Market position
Strengths5 records
Weaknesses5 records
Competitive moat4 records
Key risks6 records
Key highlights7 records
Customer concentration
SparDanmark Invest social profiles
Digital presenceSparDanmark Invest compliance and trust
Trust signalCompliance1 record
SparDanmark Invest financial estimates
Financial estimateRevenue estimate
Valuation estimate
SparDanmark Invest leadership team
Management profileNumber of profiles
Profiles4 records
SparDanmark Invest funding detail
Funding detailFunding overview
Funding rounds
Investors
Funding detail is available on the Subscription and Enterprise plan.Contact sales →
SparDanmark Invest 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 SparDanmark Invest
What does SparDanmark Invest do?
SparDanmark Invest is a Danish investment association offering four mixed-asset mutual funds (Konservativ, Balance, Offensiv, and Vækst) that invest in combinations of equities, bonds, and alternative investments including real estate and infrastructure. The funds provide professionally managed, diversified portfolios with no minimum investment requirement, and are distributed exclusively through Sparekassen Danmark with listings on Nasdaq Copenhagen.
Is SparDanmark Invest a public or private company?
SparDanmark Invest is a public company. It is classified as management employee owned and is currently operating.
When was SparDanmark Invest founded?
SparDanmark Invest was founded in 2020. It employs 1,001 to 5,000 people.
Where is SparDanmark Invest based?
SparDanmark Invest is headquartered in Vrå, Denmark, in the Europe region.
How does SparDanmark Invest make money?
One revenue line is on record: management fees.
Who are SparDanmark Invest's main competitors?
Broad incumbents on record are BlackRock iShares, PFA Pension and Industriens Pension. Direct peers are Sparinvest, BankInvest, Nykredit Invest, Jyske Invest, Nordea Invest, Danske Invest and SEB Invest.
Does SparDanmark Invest have an API?
No public API is recorded for SparDanmark Invest.
What industry is SparDanmark Invest in?
SparDanmark Invest's product category is Investment Fund Management. Its primary akta.pro industry code is FSAAAFAF, Multi-Asset & Allocation ETFs (Balanced, Target Risk). Its NAICS code is 523940 and its SIC code is 6282.