Aegon Asset Management

  • 1,001-5,000 employees
  • Investment Management

Aegon Asset Management

We are active global investors and organize our capabilities around four global investment platforms where we have deep asset-class expertise: Fixed Income, Real Assets, Equities, and Multi-Asset & Solutions.

We serve a global client-base of pension plans, public funds, insurance companies, banks, wealth managers, family offices and foundations.

Expertise

Fixed Income, Equities, Real Assets, Multi-Asset, Insurance Asset Management, Alternative Investments, Absolute Return, Multi Manager, Liability-Driven Investing, Sustainable Investing, Responsible Investing, Impact Investing, and Fiduciary Management

2025 Strategic Bonds Outlook
  • 4 months ago

The macroeconomic outlook for the year ahead is expected to see growth moderating from current levels and inflationary pressures broadly under control. The range of outcomes though have broadened f...

European ABS Outlook
  • 4 months ago

When it comes to market volatility, 2024 has been quite the year. With geopolitical issues, the continued effects of inflation and high cost of living, and the hike in interest rates, few asset cla...

Listed Real Estate Pulse: 2024 Review & 2025 Outlook
  • 4 months ago

A Christmas Carol of Sustainable Investing
  • 4 months ago

It was Christmas Eve, in the bustling city of Financeville, where a shrewd, but miserly, investor named Ebenezer Scrooge lived. Known for his sharp mind, Scrooge’s heart was as cold as the winter w...

Podcast: Strategic Thinking Out Loud – December 2024
  • 4 months ago

In the latest Strategic Thinking, Alex Pelteshki, co-manager of the Aegon Strategic Bond strategies, discusses the current market environment with European banks.

Cross-Currency Basis Markets
  • 4 months ago

Building a sustainable future: Key themes for long-term growth
  • 4 months ago

Today’s environment is rich in opportunity for sustainable investors. Beyond the ebb and flow of headline macro indicators and concentrated equity indices we see a world still recovering from the d...

It’s beginning to look a lot like 2024 – expect volatility and opportunities for bond markets in 2025
  • 4 months ago

Despite the strong showing of corporate bonds in 2024, volatility in the government bond space has left overall returns from fixed income markets somewhat short of what many investors expected for...