Credit Investing

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 15 billion (€2 billion)