Responsible Investments Report 2024

RI Annual Report 2024

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70% of our total AuM. This reflects our firm-wide commitment to responsible investing and our clients' continued appetite for sustainable financial products. Looking ahead to 2025, we are embracing new regulatory standards, including the ESMA naming requirements, which will further distinguish NAM's exceptional product lineup in the marketplace. Since NAM SFDR Article 8 and 9 funds already uphold a high standard of sustainability, we expect marginal, or no impact on our funds and their investment universe. At the time of writing this report, we are in the process of getting reg- ulatory approval to add or keep the term “sustainable” for many funds, both on the equity and fixed income side, in par - ticular for our flagship ESG STARS range and our responsible enhanced BetaPlus family.

As we move forward, NAM remains committed to delivering investment strategies that generate strong financial returns while contributing positively to society and the environment. We believe that responsible investing is not just about risk miti- gation, but about capitalizing on the opportunities presented by the global transition to a more sustainable economy. We invite you to explore this report, which details our achieve- ments, strategies, and outlook in responsible investing. Thank you for your continued trust and partnership as we work together towards a more sustainable financial future.

Nils Bolmstrand, CEO of Nordea Asset Management

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