Taking Returns with responsibility to the next level
Nordea Asset Management is dedicated to take Returns with responsibility to the next level in order to ensure competitive, consistent and responsible returns on all funds.
This means that all Nordea Asset Management’s products now include environmental, social and governance (ESG) data as one of the factors used in assessing investments.
Control the risks – and benefit from the opportunities
Environmental, social and governance issues are an increasing source of risk and opportunity, which is the main reason for integrating ESG into our investment analysis methodology.
Good returns for our customers are the primary focus for Nordea Asset Management, and we are convinced that taking ESG issues into account in all our investments can lead to better performance. If not, it will at the very least serve as a way of controlling potential risks in an investment portfolio.