Flexibility. Always.

In an uncertain and dynamic yield environment, maintaining a flexible mind-set is key.

At Nordea, we believe flexibility matters.

Nordea 1 - Flexible Fixed Income Fund

A different approach to diversify fixed income portfolios:​

  • Global multi‑sector fixed income solution aiming to outperform the Bloomberg Global Aggregate with a low level of risk (2–5% volatility) over a full investment cycle1
  • Diversifier that combines defensive and yield‑generating strategies within a net long‑only framework, designed to adapt to changing market conditions1
  • Emphasis on liquidity and credit quality, aiming to reduce downside risk with an objective of lower correlation to high yield compared with traditional fixed income peers1,2

Nordea 1 - Flexible Fixed Income Plus Fund

All-in-one solution to face uncertain and dynamic fixed income markets environment:​

  • Designed to navigate multiple fixed income regimes, managing duration and credit risk flexibly
  • Robust tactical asset allocation models and active currency management strategies to help protect the portfolio from strong market downturns
  • Risk balancing principles to avoid depending on top-down macro biases and deliver consistent performance1

1 There can be no warranty that an investment objective, targeted returns and results of an investment structure is achieved. The value of your investment can go up and down, and you could lose some or all of your invested money.

2 Source: © 2026 Morningstar, Inc. All Rights Reserved. Data as at: 30.06.2025. European Open End Funds database, Morningstar EAA OE Global Flexible Bond – EUR Hedged category.

Nordea 1 - Flexible Fixed Income Fund

All-in-one solution to face uncertain and dynamic fixed income markets environment:

  • Highly liquid, global, unconstrained solution that manages duration and credit risk flexibly
  • Robust tactical asset allocation models and active currency management strategies to help protect the portfolio from strong market downturns
  • Risk balancing principles to avoid depending on top-down macro biases and deliver consistent performance*
Nordea 1 - Flexible Fixed Income Plus Fund

*There can be no warranty that an investment objective, targeted returns and results of an investment structure is achieved. The value of your investment can go up and down, and you could lose some or all of your invested money.

Multi Assets Team

Fund documentation

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