Multi-Asset Solutions. Experience matters.

Delivering expected outcomes is an art. Our Multi Assets Team has the breadth and depth of experience
to make it possible.

At Nordea, we believe experience matters.

1) On December 16th, 2016 the sub-fund Nordea 1 – Global Short Duration Bond Fund was re-engineered and renamed to Nordea 1 – Flexible Fixed Income Plus Fund. With effect as of 23 October 2017 the sub-fund is renamed from Nordea 1 – Flexible Fixed Income Plus Fund to Nordea 1 – Balanced Income Fund and the investment policy of the sub-fund was modified.

 There can be no warranty that an investment objective, targeted returns and results of an investment structure is achieved. The value of your investment can go up and down, and you could lose some or all of your invested money.

Nordea 1 - Flexible Fixed Income Fund

An unconstrained fixed income fund that uses risk balancing principles and tactical models to preserve capital.

Nordea 1 - Balanced Income Fund

A cautious balanced fund - with a limited equity exposure - that uses risk balancing principles to generate stable returns with a fixed volatility target.

Nordea 1 - Stable Return Fund

A moderate balanced fund that uses risk balancing principles to preserve capital and generate stable returns.

Come and discover our breadth of experience.

Multi Assets Team

Asbjørn Trolle Hansen
Head of Multi Assets
Claus Vorm
Deputy Head of Multi Assets

Multimedia

Fund documentation

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