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Aegon Asset Management

Aegon Asset Management is an active global investor. Our 380 investment professionals manage and advise on assets of USD 408 billion (as of June 30, 2020) for a global client-base of pension plans, public funds, insurance companies, banks, wealth managers, family offices and foundations.

We organize our investment capabilities around four investment platforms where we have extensive asset-class expertise: fixed income, real assets, equities and multi-asset & solutions. Each platform has dedicated teams organized globally and committed to maximizing their specialist areas. These platforms are supported by teams dedicated to responsible investing and multi-management. Across platforms, we share a common belief in fundamental, research-driven active management, underpinned by effective risk management and a commitment to responsible investment.

At Aegon AM, we are active, engaged and responsible investors. Building on our rich heritage of responsible investment over the past 30 years, we’ve built a comprehensive responsible investment approach consisting of three pillars:  ESG integration, active ownership and solutions. We integrate ESG factors across our investment platform, lead active ownership activities and provide focused responsible investment solutions. Through our comprehensive responsible investment activities, we aspire to help clients pursue better long-term outcomes while contributing to sustainable capital markets and impactful economic activities.

www.aegonam.com

US Sustainable Fixed Income

Sustainability-themed approach to multi-sector fixed income investing. Pursues long-term alpha opportunities by investing in fixed income securities that are aligned with sustainable megatrends. Relies on a proprietary sustainability framework.

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Global Sustainable Equity

Aims to identify the best global bottom-up investment ideas, reflecting our in-depth sustainability analysis and global equity investment process.

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US High Yield ESG

Applies a best-in-class ESG methodology to invest in high yield issuers with favorable ESG characteristics. Aims to outperform the benchmark over a full cycle. Relies on proprietary ESG research.

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