Your possibility to diversify your financial investments
It takes experience to perform in well-functioning markets, but it takes much more to stay calm and handle risk in a disciplined way in distressed markets.
The challenge we solve
According to the Danish council for return expectations, traditional fixed income investment products are expected to deliver a modest return in relation to risk over the next 5 years.
We offer a fixed income product where we expect to deliver a return above the Danish Centralbanks repo rate and at the same time add diversification to most investment portfolios. Furthermore, our aim is to maximize the risk adjusted return of the fund.
Why us
Our team possess 50+ years of experience from the Scandinavian fixed income markets. We have first-hand trading experience from all types of market conditions and know how to act - also when the financial markets are in distress.
Featured Articles
Explore these articles where we have been highlighted:
- HedgeNordic - SRV's Multi-Pillar Fixed-Income Strategy
- Økonomisk Ugebrev - Top 30 Fondsmæglere: Her er årets hurtigløbere (In Danish)
- Børsen - Tidligere Nordea-folk starter hedgefond (In Danish)