KIRKBI Investment Management
KIRKBI Investment Management is the financial backbone of KIRKBI, ensuring a sound financial foundation to safeguard the family ownership for generations to come.
KIRKBI Investment Management highlights
8.5
%
KIRKBI Investment Management have an annual return of 8.5 %
79.0
bn DKK
The portfolio value of KIRKBI Investment Management is 79 billion DKK.
Our investment approach
KIRKBI Investment Management focuses on long-term value creation with a diversified investment portfolio. We aim to build long-term value and attractive returns through responsible investments, safeguarding the family ownership for generations to come.
ESG factors are fundamental when assessing the attractiveness and performance of an investment. We measure progress against accepted standards such as Science Based Targets Initiative, and our investment activities are regularly screened for compliance with international conventions and norms and measured against high responsibility standards and guidelines.
Our investment approach
KIRKBI Investment Management focuses on long-term value creation with a diversified investment portfolio. We aim to build long-term value and attractive returns through responsible investments, safeguarding the family ownership for generations to come.
ESG factors are fundamental when assessing the attractiveness and performance of an investment. We measure progress against accepted standards such as Science Based Targets Initiative, and our investment activities are regularly screened for compliance with international conventions and norms and measured against high responsibility standards and guidelines.
Our investment areas
Our team of dedicated investment professionals pursues strong returns through a portfolio grounded in responsible investment practices. The investment portfolio is diversified across a broad portfolio of Equities, Real Estate, and Fixed Income.