HomeRI ResourceNikko Asset Management

Nikko Asset Management

With US$282.5 billion under management, Nikko Asset Management is one of Asia’s largest asset managers, providing high-conviction, active fund management across a range of equity, fixed income, multi-asset and alternative strategies. In addition, its complementary range of passive strategies covers more than 20 indices and includes some of Asia’s leading exchange-traded funds (ETFs). Headquartered in Asia since 1959, Nikko Asset Management and its subsidiaries employ personnel representing around 25 nationalities, including 205 investment professionals. The firm has a presence through subsidiaries or affiliates in a total of 11 countries and regions. More than 400 banks, brokers, financial advisors and life insurance companies around the world distribute the firm’s products. The investment teams benefit from a unique global perspective complemented by the firm's historic Asian DNA, striving to deliver consistent excellence in performance. The firm also prides itself on its progressive, solution-driven approach, which has led to many innovative funds launched for its clients.

*As of 30 Sept 2021

https://emea.nikkoam.com/

Nikko AM ARK Disruptive Innovation Strategy

Innovation is key to growth

Fund

Asia Equity Strategy

We identify undervalued companies capable of achieving high sustainable returns and/or benefiting from positive fundamental change to capture superior alpha.

Fund

Japan Research Active Strategy

The strategy’s portfolio is style agnostic. Its style exposure is controlled, allowing for stock selection across the growth/value spectrum. The strategy is thereby able to generate consistent alpha in different market environments, resulting in an “all-weather” portfolio.

Fund

Global Green Bond Strategy

Invests in primarily AAA rated Green Bonds that finance projects that help in mitigation and adaption to climate change.

Fund

Japan Dividend Strategy

Focuses not solely on the current level of dividend yield but also on dividend growth potential. The strategy aims to deliver stable total returns from both income and capital gains.

Fund

Asia Credit Strategy

Fixed Income strategy investing in a “best ideas” portfolio of USD-denominated Asian bonds.

Fund

Global Equity Strategy

High active share, differentiated global equity portfolio that aims to provide superior returns through a disciplined and clear investment process focused on Future Quality.

Fund

Japan Value Equity Strategy

Through fundamental, bottom-up stock selection, the Japan-based investment team looks for changes that act as catalysts to unlock hidden value.

Fund

China Equity

Integrating local discovery and institutional rigor with our double diamond approach to China equity.

Fund

RMB Bond Strategy

One of the first strategies launched after the liberalisation of the Chinese bond market; invests in offshore and onshore RMB bonds, providing stable capital appreciation

Fund