In Focus
- The Nordic countries have delivered impressive growth rates in recent years and represent a great diversification opportunity within Europe having avoided the recent Eurozone crisis.
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Companies there are highly export oriented, due to relatively small domestic markets, which means they need to be competitive on the global market.
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Nordea offers opportunity to participate in the Nordic markets via a range of individual country funds, and pan-regional equity and fixed income solutions.
- Managing around EUR 33bn in Nordic fixed income and EUR 11bn in Nordic equities, Nordea is the leading investment manager in the North.
Disclaimer:
Past performance is not necessarily a guide to the future and investors may not recover the full amount invested. The value of shares can fluctuate and is not guaranteed.
Related Funds:
Nordic country funds:
Danish Equity Fund![]()
Norwegian Equity Fund![]()
Swedish Equity Fund![]()
Pan-regional equity:
Nordic Equity Fund![]()
Nordic Equity Small Cap Fund![]()
Fixed income solutions:
Danish Bond Fund![]()
Danish Long Bond Fund![]()
Danish Mortgage Bond Fund![]()
Norwegian Bond Fund![]()
Swedish Bond Fund![]()
Reserve:
Danish Kroner Reserve![]()
Norwegian Kroner Reserve![]()
Swedish Kroner Reserve![]()
Market Commentaries:
Economic Outlook:
Nordic Economic Outlook![]()
Nordic fixed income: Nordic solution to Eurozone diversification
Further information:
The Danish Mortgage Model explained:
Video by the Danish Mortgage Association on the mortgage system (in English) ![]()