Two managements methods
We have a long tradition of equity management. We utilise two different management methods – fundamental and quantitative – for our equity funds. Fundamental equity management, which applies mainly to our domestic markets, is characterised by in-depth fundamental analysis where, among other things, meetings with the management of companies are central to gain a deep understanding of the companies and their business models. For our quantitative managed funds, we employ sophisticated, modern methods to systematically analyse the equity markets by gathering and analysing large amounts of data from around the world.
A common denominator for both methods is that we actively integrate sustainability in all our investment processes and focus on creating value in the long term.