• Stewardship Code

    Nikko Asset Management (Nikko AM) adopts the “Principles for Responsible Institutional Investors”, also known as “Japan's Stewardship Code”, in relation to our investments in publicly traded Japanese stocks. Acceptance of the Stewardship Code “Japan's...

    http://en.nikkoam.com/stewardship-code
  • Amended: Nikko Asset Management Adds Executives to Bolster Global Institutional Coverage

    Amended: Nikko Asset Management Adds Executives to Bolster Global Institutional Coverage

    http://en.nikkoam.com/media-center/press-releases/2015/nikko-asset-management-adds-executives-to-bolster-global-institutional-coverage-20150204
  • Nikko Asset Management Adds Executives to Bolster Global Institutional Coverage

    Nikko Asset Management Adds Executives to Bolster Global Institutional Coverage

    http://en.nikkoam.com/media-center/press-releases/2015/nikko-asset-management-adds-executives-to-bolster-global-institutional-coverage
  • How to Invest

    Institutional Investors Tailored investment mandates managed specifically for each client. Japan Website - Japanese (日本語): www.nikkoam.com Institutional client services email: InternationalSalesPlanningDept@nikkoam.com Singapore Website:...

    http://en.nikkoam.com/invest
  • Green Bonds Go Mainstream

    2014 has become a landmark year for green bonds, having become one of the few sustainable investment instruments to reach a suitable scale and poised to enter the mainstream for global institutional investors.

    http://en.nikkoam.com/articles/2014/12/green-bonds-go-mainstream
  • Global Offices

    Japan Nikko Asset Management Co., Ltd. (Nikko AM) Nikko AM provides investment management services, focused on sourcing, packaging and distributing retail investment fund products which are managed in-house or outsourced to third-party sub-advisers....

    http://en.nikkoam.com/about-us/global-offices
  • Changing Shape of China's Economy - 7. Market Access

    http://en.nikkoam.com/sp/changing-shape-of-china-economy-market-access-for-foreign-investors
  • Leadership

    Executive Chairman David Semaya Representative Director, Executive Chairman David Semaya is Representative Director and Executive Chairman of Nikko Asset Management Co., Ltd. He joined Nikko Asset Management in April 2014, and is primarily responsible...

    http://en.nikkoam.com/about-us/leadership
  • Global Multi-Asset

    Nikko Asset Management aims to provide institutional-quality multi-asset products, solutions and customized advisory services to global clients, who are increasingly allocating their assets to investment opportunities around the world.

    http://en.nikkoam.com/strategies/multi-asset
  • Nikko Asset Management Makes Senior Executive Hire in Institutional Business

    Nikko Asset Management Makes Senior Executive Hire in Institutional Business

    http://en.nikkoam.com/media-center/press-releases/2014/20140728-1
  • Listed Index Fund TOPIX Ex-Financials to Meet Capital Policy, Investment Needs of Financial Institutions – With trading in units as small as JPY 1,000, cash creation-type fund also meets the needs of institutional investors –

    Listed Index Fund TOPIX Ex-Financials to Meet Capital Policy, Investment Needs of Financial Institutions – With trading in units as small as JPY 1,000, cash creation-type fund also meets the needs of institutional investors –

    http://en.nikkoam.com/media-center/press-releases/2013/20130904-1
  • Nikko Asset Management Adds Three Executives to Deepen Global Institutional Market Coverage

    Nikko Asset Management Adds Three Executives to Deepen Global Institutional Market Coverage

    http://en.nikkoam.com/media-center/press-releases/2014/20141110-1
  • 1554 - Listed Index Fund World Equity (MSCI ACWI) ex Japan

    The Fund seeks to achieve net asset volatility per unit of trust assets which closely correlates with the movement of the MSCI ACWI (All Country World Index) Index ex Japan by investing mainly in all or a portion of separately stipulated investment...

    http://en.nikkoam.com/etf/1554-world-equity
  • 1322 - Listed Index Fund China A Share (Panda) CSI 300

    This is a Fund that invests in securities investment trusts that target price performance linked to the China Securities Index (CSI) 300 Index (yen-equivalent basis). The Fund mainly consists of investments in stock issues adopted for the CSI 300...

    http://en.nikkoam.com/etf/1322-china-a-share-panda-csi-300
  • Official Support for Japan’s “Show Me the Money” Theme?

    Update on Japan’s “Show me the Money” corporate governance — the dividend paid by TOPIX continues to rise towards its historic high, but the payout ratio has been stagnant for the past few months, as earnings continue to rally equally well.

    http://en.nikkoam.com/articles/2014/11/official-support-for-japans-show-me-the-money-theme
  • Liquidity Fears May Prompt a Market Rethink

    We believe it is time to reassess market attitudes towards liquidity. We may have to start moving towards a model where investment horizons and liquidity expectations are more appropriately matched to the asset classes being invested in.

    http://en.nikkoam.com/articles/2016/05/liquidity-fears-may-prompt-a-market-rethink
  • Changing Shape of China's Economy - 4. Prominence of RMB

    http://en.nikkoam.com/sp/changing-shape-of-china-economy-growing-prominence-of-rmb
  • Zooming in on the Pacific Decade: China's Devaluation

    A concentrated, stock-picking approach is the best way to serve a long-term investor's goal of capital appreciation

    http://en.nikkoam.com/articles/2015/08/zooming-in-on-the-pacific-decade-china-s-devaluation
  • The New Governance Code – What impact will it have on Japanese companies?

    Due to the developments described in this article, there is ample room for growth at Japanese firms and much opportunity for investment success.

    http://en.nikkoam.com/articles/2015/04/the-new-governance-code-what-impact-will-it-have-on-japanese-companies
  • How does geopolitical risk affect portfolio management?

    A new White Paper from Eurasia Group and Nikko Asset Management explores how political risk factors can be systematically employed in portfolio management to provide a risk-controlled means of getting exposure to emerging markets.

    http://en.nikkoam.com/sp/eurasia