- Advertisement -

Related

Danske Launches New Macro Hedge Fund

- Advertisement -

Stockholm (HedgeNordic) – After launching a Europe-focused long/short equity fund in late March, Danske Bank Asset Management has now launched a new global macro hedge fund. Danske Invest Global Macro Hedge Fund is managed by Bo Bejstrup Christensen and Lars Tranberg Rasmussen (pictured).

Bo Bejstrup Christensen re-joined Danske Bank’s asset management arm in June of last year as chief portfolio manager of the new macro hedge fund, whereas Rasmussen joined the Danske hedge fund team later in the year as a senior portfolio manager. The duo uses a top-down, macro approach to invest across various asset classes around the globe.

Danske Invest Global Macro Hedge Fund is a global multi-asset long/short hedge fund seeking to generate stable absolute returns over the medium term. “The investment strategy is driven by a fundamental top-down macro framework, which is powered by both qualitative and quantitative analysis and tools,” explains Christensen. The portfolio management team views “macro risk factors such as global, regional and country-specific economic growth, debt, funding and leverage trends, as well as inflation and demographics, among others, as the true underlying factors of the risk-return profile of mainstream liquid financial assets.” To diversify risk and generate market-neutral returns, the team will seek to “gain exposure to multiple independent macro risk factors.”

“We have decided to launch the fund as we see continued strong demand for alternative investments,” Christensen tells HedgeNordic, adding that “we view the current global investment environment as particularly conducive for highly flexible investment vehicles.” Despite having built an extensive range of hedge fund products over the years, Danske Bank Asset Management’s most recent launch represents a distinct piece within its extended range of hedge fund offerings.

“The fund represents a natural (and complimentary) addition to our existing hedge fund range, as our current offering is mainly focused on Scandinavian and European fixed-income markets and FX,” says Michael Petry, head of hedge funds at Danske Bank Asset Management. “It is a result of our continued focus on providing our clients with absolute return-oriented products.”

 

Welcome to the Nordic hedge fund arena!

Subscribe to HedgeBrev, HedgeNordic’s weekly newsletter, and never miss the latest news!

Our newsletter is sent once a week, every Friday.

Eugeniu Guzun
Eugeniu Guzun
Eugeniu Guzun serves as a data analyst responsible for maintaining and gatekeeping the Nordic Hedge Index, and as a journalist covering the Nordic hedge fund industry for HedgeNordic. Eugeniu completed his Master’s degree at the Stockholm School of Economics in 2018. Write to Eugeniu Guzun at eugene@hedgenordic.com

Latest Articles

Hedge Fund Launches Climb, Liquidations Rebound in First Quarter

Following a historically quiet year for hedge fund closures, both fund launches and liquidations accelerated in the first quarter of 2026. While new launches...

Month in Review: Nordic Hedge Funds Cap Strong Second Quarter

Nordic hedge funds edged higher in June, capping a strong second quarter with a gain of 5.4 percent and bringing their return for the...

Staffan Östlin Steps Down as Manager of Adrigo Small & Midcap L/S

Staffan Östlin is stepping down as portfolio manager of Adrigo Small & Midcap L/S, the Nordic small-cap stock-picking hedge fund he has managed since...

Equity Strategies Lead as Hedge Funds Deliver Strong First Half

Global hedge funds extended their winning streak in June, posting a third consecutive monthly gain and completing their strongest first half of the year...

Healthcare Rally Fuels Rhenman Healthcare Equity L/S

After two strong months for broader equity markets in April and May, investors took a breather in June. The healthcare sector, however, bucked the...

BlackRock Unveils Tactical Opportunities Plus for Macro Alpha

BlackRock has launched the BSF Tactical Opportunities Plus Fund, a new liquid alternatives UCITS strategy designed to meet growing investor demand for macro strategies...

Allocator Interviews

In-Depth: Diversification

- Advertisement -

Voices

Request for Proposal

- Advertisement -