Now you have the chance to get to know us
As an asset manager specializing in private debt, high yield, and structured credit, the core of Accunia’s investment strategy is fundamental analysis of underlying credit risk.
A few selected milestones:
- 2008: A leading provider of discretionary Asset Management to Institutions and Family Offices of comprehensive credit portfolios.
- 2016: The first Nordic manager of a Collateralized Loan Obligation (CLO).
- 2017: The first provider of CLO based investment funds in Scandinavia.
Assets Under Management currently DKK 19 billion (€2.5 billion)