Navigating the turbulent road ahead
At Nikko Asset Management, we question industry assumptions and cultivate an atmosphere of diligence, respectfulness and transparency. Our Global Equity team's unique process of actively challenging investment ideas limits cognitive biases and generates a portfolio tilt towards growth and quality.
Want to learn about our strategy for Global Equity investing in an uncertain age? Our team of experts has put together an investment guide on our Future Quality approach.
In the guide you'll learn about:
- How Global Equity investors can respond to challenging market conditions;
- How we identify Future Quality companies;
- How we incorporate ESG in the investment process.
Sign up now to receive your free copy.
Download our Global Equity Investment Guide
You can find a preview of the guide below
About Nikko Asset Management
Nikko Asset Management is one of Asia’s largest asset managers, with 206.1bn USD* under management, providing high-conviction, active fund management across a range of Equity, Fixed Income and Multi-Asset strategies. In addition, our complementary range of passive strategies covers more than 20 indices and includes some of Asia’s largest exchange-traded funds (ETFs).
In the pursuit of excellence, we approach everything we do with an entrepreneurial mindset. This enables us to think differently, transforming intelligent insights into innovative, relevant investment opportunities for our clients. Leveraging our unique combination of a global perspective complemented by our Asian DNA, we aspire to create sophisticated and diverse solutions that set new standards in the asset management industry.
*as at 30 June 2022