Sustainable Finance professional
Presentation: North American equities: how can ESG considerations impact long term performance?
Extensive fiscal stimulus and a largely successful vaccination campaign have brought the United States to the path of recovery. However, this path won’t be smooth nor parallel across sectors and will be characterized by effects that are not easy to predict. Discover how active management can still add value in the reputed most efficient equity market, where we see opportunities and how sound ESG integration can link excess returns with lasting impact.
Philip Wrangberg is a Senior ESG analyst who joined the RI team in Stockholm in March 2020 and is the ESG responsible for several NAM equity and fixed income sustainable strategies. Philip also focuses on thematic research and company engagements. He joined the bank in 2018 as a Graduate, attending the year-long Nordea Graduate Programme, after which he took up a position as an ESG analyst in Nordea Markets. Philip holds a BSc in Economics and Business from Lund University and a M.Sc. in International Economics from Erasmus School of Economics.
Nordea Asset Management (NAM, AuM 266bn EUR*), is part of the Nordea Group, the largest financial services group in the Nordic region (AuM 372bn EUR*). NAM offers European and global investors’ exposure to a broad set of investment funds. We serve a wide range of clients and distributors which include banks, asset managers, independent financial advisors and insurance companies.