About Sparinvest
“Prudent investment” is the philosophy of Danish investment fund company Sparinvest. It is the guiding principle whether in terms of fund conception, management or investment. Sparinvest is committed to strategic asset allocation: Research, analysis and investment strategies are all geared towards achieving a well-balanced relationship between risk and return for the investor. One of the core fields of expertise is therefore the value strategy, in which capital preservation always takes priority before possible opportunities. Sparinvest is the only investment fund company to apply the value principle not only to equities, but also the bonds.
For many years now the fund management has been consistently pursuing financial theories from such finance moguls as Harry Markowitz and Benjamin Graham, instead of investing in short-term, high-risk trends and fads. And they have been doing so with great success: Sparinvest has grown to become one of Northern Europe's most successful asset management companies. Sparinvest currently manages over 30 funds for institutional and private investors.
Sparinvest was founded in Copenhagen, Denmark in 1968 by a group of savings banks. Since it was founded, the company has been owned by in excess of 90 shareholders including banks, insurance companies and pension funds. This broad shareholder structure allows Sparinvest to operate independently, unconstrained by individual corporate interests. Sparinvest’s Luxembourg subsidiary, Sparinvest S.A., has been expanding European distribution since 2001.