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Investing your savings

See the shares, credit and government bonds P+ invests in. You can also see an outline our portfolio managers.
This is how we have build your investment portfolio

We invest across a wide range of different asset classes like shares, bonds, real estate and infrastructure to ensure a robust portfolio that can endure through different market scenarios and economic cycles. 

Risk management

As a pension fund we must be able to respond to a number of risk events when we manage your pension. Investing is always connected with a risk due to market fluctuations. P+'s risk management is described in the pension fund's Solvency and Financial Conditioning Report (only available in Danish).