Sparinvest, originating in
Our main priority is to generate added-value to investors through consistent performance, rather than placing emphasis on asset-gathering or enhancing distribution. The clear objective is to continue to deliver investment products ranked among the top third of the market.
In the Danish domestic market, Sparinvest offers a wide range of investment vehicles. All investment services and products are based on an academically-based strategic asset allocation model where portfolios are constructed by combining assets with non-correlating volatility and performance attributes. In practice, this means that Sparinvest does not attempt to forecast economic outlook but rather sticks to the defined investment concept and risk at all times. We firmly believe that this conviction is the most important reason that our investment products are consistently among the market leaders in terms of diversification and quality as well as performance.
Internationally, Sparinvest has chosen to promote a selected range of the Group’s highly-rated investment products.