Primær navigation

  • About us
  • Strategies/Funds
  • Philosophy
  • Insights
  • Contact
  • Kontakt in Deutschland

Professional capital management

More about us
New analysis

We explore how multi-factor risk premia offers value in a corporate bond strategy - the 2020 Covid-19 crisis case study

Read more

Explore our investment strategies

We manage cross asset portfolios as well as single strategies within corporate bonds, equities, currency, Danish bonds, EM and social responsible investment.

Read more

Our Insights

Find in-depth analysis on investment related topics along with thoughts and view-points from our investment professionals.

Read more

Newsletter

Subscribe to our newsletter to receive up-to-date information about our strategies, product launches, white papers and more.

Sign up

Latest news

  • Jyske Bank joins Climate Action 100+
  • 2021 Global Investor Statement to Governments on the Climate Crisis
  • Jyske Bank joins Net Zero Asset Managers Initiative
  • Foreign investors flock to Danish Mortgage bonds
  • Sales are picking up – and we expect stronger momentum going forward

All news

Latest analysis

A robust Corporate Bond Multi-Factor Strategy in a volatile market

Read the article
  • Home
  • About us
  • Strategies/Funds
  • Philosophy
  • Insights
  • German Clients
  • About us
    • Organisation
    • Responsible investment
  • Strategies/Funds
    • Single strategy
    • Cross assets strategy
  • Philosophy
  • Insights
  • German Clients
  • Cookies
  • Privacy
  • Jyske Bank A/S, Vestergade 8-16, 8600 Silkeborg