Introduction

Asgard Asset Management is a Danish asset manager focused on fixed income, primarily investing in government, mortgage, covered, and index-linked bonds to capture relative-value opportunities in European, mostly Scandinavian, markets.

 

Based in Copenhagen, Denmark, we specialize in identifying and capturing risk premiums in interest rate markets to achieve high risk-adjusted and mostly uncorrelated returns. Investing in risk premia has proven to be an attractive marketplace for fulfilling our investment goals.

 

In short, we are a team of experienced fixed income investors who are passionate about helping our clients achieve their financial goals. We believe that our focus on risk premia, our deep understanding of the European fixed income markets, and our commitment to risk management make us a unique and valuable partner for our clients.

Selected Press

Our Team

Asgard Asset Management began as a team of three with a Bloomberg terminal, and has since grown into an organization of 11 people with diverse roles in portfolio management, risk management, and quantitative tasks. We also have long-lasting and efficient relationships with administrators and prime brokers, which is an essential aspect of our success.

Morten Mathiesen

Chief Investment Officer

Kasper Ullegård

Chief Executive Officer

Kenny Friis Gade

Deputy Chief Investment Officer

Mads Nielsen

Chief Strategy Officer

Christina Sehested Christensen

Chief Risk Officer

Bo Michael Andersen

Senior Portfolio Manager

Jesper Obeling Kring

Senior Portfolio Manager

Edi Zulfaj

Senior Portfolio Manager

Helle Rosenlund

Administrative Specialist & Officer Manager

Alexander Lillevang Bech

Analyst

Egon Søndergaard Petersen

Analyst

Ida Matilde Mehlin Madsen

Analyst

Our Partners

At Asgard Asset Management, we have long-lasting and efficient relationships with our administrator, prime broker, legal advisors, and auditor.

  • SS&C GlobeOp is a globally recognized leader in fund administration services. Our partnership with SS&C GlobeOp has stood the test of time, spanning over two decades, and continues to provide us with invaluable support in managing our funds efficiently.
 
  • SEB Group (Skandinaviska Enskilda Banken) is a prominent financial institution and has been the funds’ prime broker and (sub)custodian for a long time. Their reliability and trustworthiness have helped in handling prime brokerage services with confidence and expertise.
 
  • KPMGis a well renowned global firm specializing in audit services. They have been a partner since the inception of Asgard Fixed Income Risk Premia
 
  • Maples Group is a respected international law firm, who has been the long time trusted legal advisor of our funds.
 
  • Lund Elmer Sandager Advokatpartnerselskab is a Danish law firm, who is advising Asgard Asset Management.

Board of Directors

Peter Høltermand

Chairman

Søren Astrup

Board Member

Morten Mathiesen

Board Member

Kim Høibye

Board Member

Asgard Asset Management A/S (CVR 33763492) - Landgreven 3, 1. tv., 1301 København K

Disclaimer

The text on this website is only meant for information. All information or statements contained on this website are based on information from sources believed to be reliable, but have not been independently verified. Asgard Asset Management makes no representations or warranties and assumes no liability of any kind for the accuracy or completeness of such information.

No information provided on this website should be construed as an offer to buy or sell shares in the funds. Subscription of investment shares in the funds is approved solely on the basis of the latest prospectus, key information document, etc., which is available on this website. Asgard Asset Management does not accept any liability for any damages or losses that may arise as a result of the use of this website or its content. Users of the website should not rely solely on material contained on this website and should, where necessary, seek independent advice.

Prices, rates and values are included for information purposes only and are, unless otherwise stated, indicative. Such prices, rates and values are not necessarily a reflection of the terms on which a new trade may be executed or an existing trade may be liquidated. Past performance is not a guarantee of future performance.

Potential investors in shares should obtain information about: (a) the possible tax consequences, (b) the legal requirements, and (c) any exchange control restrictions or requirements that may arise under the laws of the countries where they are citizens, resident, incorporated or domiciled, and which may be relevant to the subscription, holding or disposal of Shares.

Any product or service, information or statement referred to on this website is not intended for distribution to or use by any person in any jurisdiction or country where such distribution or use would be unlawful, and is not intended for "U.S. persons" as defined in the United States Securities Act of 1933 (the United States Securities Act of 1933) as amended, or private clients in the UK.

This disclaimer is designed to protect Asgard Asset Management from liability in the event that any information on this website is inaccurate or incomplete. It also states that the information on this website is not intended to be used as the basis for an investment decision.

The specific information covered by the disclaimer includes: The accuracy of the information on the website The suitability of the information for investment purposes The potential for damages or losses arising from the use of the website The disclaimer also states that the information on the website is not intended for certain people or jurisdictions, such as U.S. persons or private clients in the UK.

Remember to check your spam folder if email does not appear.