Creating value through risk premia
Accunia has made investments totalling more than €5bn. In the European credit markets and has generated an annual return of more than 8.6% since 2009*.
*Past returns are no indicator for future returns.
Accunia is a specialized asset manager focusing on the European credit markets. Our main goal is to preserve capital for investors.
Accunia has made investments totalling more than €5bn. In the European credit markets and has generated an annual return of more than 8.6% since 2009*.
*Past returns are no indicator for future returns.
In a Nordic context, Accunia is a groundbreaking enterprise within alternative credit investing. Since 2009, we have specialised in facilitating investments in selected areas of the European credit space to our investors. In 2016, Accunia became the first Nordic CLO manager and has today four European CLOs under management. Accunia manages a group of alternative investment funds (AIFs) offering a comprehensive palette of strategies within the European credit space.
All potential investments go through an investment process before being purchased. Each investment is thoroughly monitored throughout its holding period.
When it comes to responsible investing, Accunia has clear goals and restrictions aimed to be understandable and actionable.
Our results are attained by competent people across the organisation. Accunia has offices in Copenhagen.
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