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Accunia's history

Specialist asset manager in European credit

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Accunia’s history

Accunia is a groundbreaking enterprise within alternative credit investing in a Nordic context. 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 launched its first alternative investment fund (AIF) in 2017. Today, Accunia offers a comprehensive palette of strategies within the European credit space.

Capabilities in European credit

Accunia is a specialised asset manager that invests in segments of the European credit market, that we believe offers an attractive risk/return profile. Since 2009, this has given our investors an annual return of 9.3%*, which corresponds to just south of a tripling in initial wealth.  

*Past returns are no indicator for future returns

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