Nordea keeps risk on after "tough" year: Three themes will determine returns in 2020
The major bank enters 2020 overweighting equities despite uncertainty and "fantastic" returns in the past twelve months.

Nordea has published its last asset allocation outlook in 2010s in which it continues overweighting equities at the expense of bonds with short duration.
Already a subscriber?Log in here
Read the whole article
Get access for 14 days for free. No credit card is needed, and you will not be automatically signed up for a paid subscription after the free trial.
With your free trial you get:
- Access all locked articles
- Receive our daily newsletters
- Access our app