Multi-Manager Portfolio Management

What is Multi-Manager Portfolio Management?


Within Multi-Manager Portfolio Management your portfolio is invested in some of the world’s best performing funds. It combines Nordea’s investment strategy and risk management expertise with the expertise of the world's top asset managers.

Why choose Multi-Manager?

You gain active participation in the financial markets through some of the worlds best funds, while leaving the continuous monitoring and decision-making to our investment specialists.

Product highlights

Diversification
Multi-Manager investment involves investing in funds within various asset classes to create a balanced and diversified investment portfolio.

Access to the best asset managers
Our screening process identifies the best funds within the more than 61,000 available investment funds.

Unbiased fund selection
Funds are chosen on the basis of a quantitative rating system together with a qualitative evaluation of the team managing the fund, irrespective of the management company.

Active management
Your investment is managed on a discretionary basis, whereby our experienced portfolio managers implement the investment decisions on your behalf.



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Fact sheet - Download the Multi-Manager Portfolio Management fact sheet here:

 

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