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Updates

March 2020
American Century Investments and Nomura Asset Management Launch Emerging Markets Sustainable Impact Equity Fund

The new Dublin-based UCITS fund will actively invest in 70-75 companies that demonstrate accelerating growth, located primarily in emerging markets, while contributing to one or more of the United Nations Sustainable Development Goals (SDG).

February 2020
Nomura’s Global Dynamic Bond Fund celebrates 5th birthday

The Nomura Global Dynamic Bond Fund (“the Fund”) reached its five-year anniversary on 31st January, having now grown to over $1.1bn

December 2019
Nomura’s Global Dynamic Bond Fund hits $1bn

The Nomura Global Dynamic Bond Fund, managed by Richard “Dickie” Hodges has reached the $1bn mark, having delivered 16.8% YTD.

June 2019
Important: Unauthorised Use of Nomura Brand – Black Trading Corp

Nomura have been made aware of a scam being perpetrated by individuals working for an entity which claims to be associated with Nomura.

April 2019
Nomura Asset Management launches Global Sustainable Equity Fund

Nomura Asset Management U.K. Ltd. (NAM UK) has announced the launch of its Global Sustainable Equity Fund (“the Fund”) offering investors exposure to companies aiming to make a positive impact on the environment and society.

April 2019
Nomura US High Yield Bond Fund marks 10th anniversary

Nomura Asset Management, a leading global investment manager, marks the 10th anniversary of the Nomura US High Yield Bond Fund.

March 2019
NAM UK strengthens its EMEA distribution team

Nomura Asset Management U.K. Ltd. (“NAM UK”), a leading global investment manager, today announces the appointment of Anne Dillé-Weibel as Business Development Director and Leigh Fisher as Business Development Manager.

January 2019
Nomura Global High Conviction Fund hits 1st quartile as it celebrates 3rd anniversary

Nomura Asset Management is marking the third anniversary of the launch of its Global High Conviction Fund, which has delivered first quartile returns of 6.2%* (annualised since inception) and been awarded a four star rating by Morningstar.

October 2018
Nomura Global Dynamic Bond Fund – IA sector position to change with immediate effect
September 2018
Nomura Japan High Conviction Fund marks fifth year of strong outperformance

The Nomura Japan High Conviction Fund recently celebrated its five-year anniversary, delivering first quartile performance since inception.

September 2018
Nomura Asset Management U.K. Ltd. Appoints Peter Ball

Nomura Asset Management U.K. Ltd. (“NAM UK”) today announced the appointment of Peter Ball as Managing Director with responsibility for all aspects of distribution and client relations across Europe, the Middle East and Africa (EMEA).

April 2018
Nomura appointed to manage $330mn global high yield mandate

Nomura Asset Management, the $493 billion investment manager (as of 31 March 2018), has been appointed to manage a $330 million global high yield credit investment mandate by Första AP-Fonden (AP1), one of five buffer funds in the Swedish national income pension scheme.

February 2018
Nomura Global Dynamic Bond Fund marks its third anniversary

Nomura Asset Management announces today that the Global Dynamic Bond Fund (“the Fund”) has reached a significant performance milestone in achieving a three-year track record.

November 2017
Nomura Asset Management launches European high Yield Bond Fund

Nomura Asset Management U.K. Ltd. today announces the launch of the Nomura Funds Ireland European High Yield Bond fund.

September 2017
Nomura Asset Management makes two Inflation-Linked Bond Funds available for Swiss and Spanish investors

Nomura Asset Management today announces that it has extended the availability of its two global inflation linked bond (ILB) UCITS funds to Switzerland and Spain. Euro and USD hedged share classes have been made available for qualified investors in Switzerland since 11th of July 2017 and for Spanish investors since 22nd of August 2017.

January 2017
Nomura India Equity Fund marks 10th anniversary

This week, Nomura’s India Equity Fund passes its 10th anniversary. Since launch in January 2007 the fund has regularly achieved 1st quartile peer group returns.

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