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About Nomura Asset Management (NAM)

Nomura Asset Management (NAM) manages US$287 billion of assets (as at 31 March 2013) and is best known across Europe for its expertise in the management of Far Eastern equity portfolios. We manage assets for some of world’s largest institutions including corporate and state pension schemes, insurance companies, asset managers, investment trusts, Private Banks, Central Banks and Sovereign Wealth funds.

We consistently strive to provide “world class” products to investors, i.e., to provide products that meet the dynamic needs of clients and achieve solid returns so we proactively develop new strategies to enhance the NAM product line-up building on our Asian market expertise to offer a wide range of asset classes.

We now offer products ranging from Japanese Equities (Active Core, Small Cap, Enhanced Index and Strategic Value), Global Emerging Markets equities (Large and Small Cap), Asia Pacific equities (including and excluding Japan), Research Associates Fundamental Index© strategies (Japan Equity, Global Equity and Emerging Markets) to Fixed Income (Government Bonds, Aggregate Bonds, US High Yield, 'NGA' Global Low Leverage LIBOR Plus strategy and Absolute Return).

Nomura Emerging Small Cap Strategy
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