Nordic Investor Insights 2023


The Nordic Investor Insight 2023 report offers a comprehensive overview of current trends and strategic outlooks among institutional investors, fund selectors, and asset managers in the Nordic region. Amid shifting global economic conditions—marked by rising inflation, interest rate changes, and geopolitical tensions—Nordic investors are increasingly adjusting their portfolios, moving away from cash holdings and simple growth equity allocations to more diversified strategies. The report highlights a mixed sentiment toward asset classes: a reduction in domestic and international real estate investments contrasts with growing interest in infrastructure, private debt, hedge funds, and investment-grade credit, reflecting investors’ preferences for inflation-hedged and risk-managed assets. Additionally, emerging market equities reveal divergent strategies, with some Swedish investors exiting due to ESG concerns and geopolitical risks, while others remain committed or reallocate within the asset class.

ESG factors continue to play a critical but nuanced role, especially as Nordic asset owners advance insourcing trends to retain greater control over sustainability and risk management. Fund selectors indicate that improved ESG reporting and clear communication are essential differentiators for asset managers aiming to attract Nordic capital. Looking ahead, the Swedish Fund Selection Agency's forthcoming pension fund tenders will create significant opportunities and challenges, emphasizing equity funds with sustained attention to market fluctuations and evolving ESG regulations. In terms of communication preferences, selectors favor personalized meetings—either in person or via video—over phone calls, underlining the importance of meaningful dialogue in a competitive environment.

For 2023-2024, Nordic investors and selectors are primarily focused on navigating inflation, interest rate risks, and potential recessions, coupled with concerns about real estate valuations and banking sector vulnerabilities. Geopolitical risks remain salient, influencing both asset allocation and business strategies. While ESG concerns are prominent among fund selectors, fewer asset owners list them as imminent challenges, suggesting varied prioritization across stakeholder groups. Asset managers aiming to succeed in this crowded marketplace should prioritize transparency, adapt to regulatory shifts, and align their offerings with evolving investor needs, thereby building trust and securing a competitive edge in the Nordic investment landscape.

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Table of content

Back to the Future: Navigating a Changing Investment Landscape

An overview highlighting the shift from the post-global financial crisis investment approach towards adapting portfolios amid inflation, rising interest rates, and geopolitical tensions, with insights drawn from Nordic institutional investors and fund selectors.

About the Report and Survey Methodology

Details on the report’s purpose to capture current Nordic investor sentiment, based on surveys of 54 fund selectors, asset owners, and fund companies, representing substantial asset volumes, complemented by continuous market engagement and external research.

The Nordic Region: Market Dynamics and Growth

Examination of the Nordic investment market’s attractiveness to international asset managers, the trend of expanding local presence especially in Stockholm, and demographic and economic data for the region’s countries.

The Nordic Opportunity: ESG and Insourcing Trends

Discussion on the growing importance of ESG standards and reporting, alongside increasing trends of asset owners managing investments internally to gain control and better align with sustainability goals, impacting asset manager competition.

Asset Allocation Trends: Shifting Preferences and Emerging Asset Classes

Insight into Nordic institutional investors’ preference shifts, including decreased real estate exposure, increasing allocations to infrastructure, private debt, hedge funds, and investment-grade credit, with concerns around inflation, recession, and geopolitical risks.

Diverging Approaches to Emerging Market Equities

An analysis of Swedish investors’ varying strategies on emerging market equities, influenced by ESG considerations and geopolitical events, demonstrating both exits and selective reallocations within emerging markets.

Fund Selection Trends: Challenges and Communication Preferences

Overview of expected fund search focus areas—primarily equities—with challenges posed by market volatility and ESG regulations, plus favored communication methods with asset managers emphasizing personal and video meetings over phone calls.

Outlook for 2023/2024: Roadmap for Investors and Managers

Presentation of key themes anticipated to influence investments, including inflation and interest rates, geopolitical risks, real estate and banking vulnerabilities, and ESG considerations, forming a strategic guide for asset managers engaging Nordic clients.