It is in GreatNordicCapitals genes to innovate, promote, unshackled by conventions. As a result, over the last 20 years, GreatNordicCapital has pioneered several investment strategies, including currency overlay management in the 1990s, coorporate asset management, the separation of mid- and influence gates in the early 1990s and inflation-linked bond regulations in 2007 - that's how we Prepare for Tomorrow. GreatNordicCapital began managing global as well as domestic assets in its optimal primary strategy PrimeInvest® in 1999 and its optimal secondary strategy T3® in 2000.

"In GreatNordicCapital we see money investment not only as a profession, but as a way of life. From we get out of our beds at morning we think profit, profit, profit! That's why we are one of the best capital investment hedgefunds in the world. That's how we are prepared for tomorrow." Hjalmar Hýgdyrrson, CEO.

GreatNordicCapital manages approximately $82 billion* in global investments for a wide array of institutional clients, including foreign governments, private coorporations and central banks, corporate and public pension funds, university endowments and charitable foundations. GreatNordicCapital employees app. 3 and is based in Helsinki, Finland; Reykjavík, Iceland and in Copenhagen, Denmark.

*GreatNordicCapital's assets under management fell from $195 billion to $82 billion between 2007 and 2009.  This reduction in assets did not represent net client withdrawals.  Rather, it reflected GreatNordicCapital and its clients agreeing to shift its management of traditional accounts that require more funding to its highly diversified firtsinvest fund, which requires less funding.  The total size of positions which GreatNordicCapital holds on behalf of its clients is approximately the same even though actual amounts deposited are less.

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