Aegon Asset Management – Investing Beyond Borders

We are active global investors. Our 385 investment professionals manage and advise on assets of USD 337 billion (as of March 31, 2024).  


We 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. 

Our Investment Platforms

Fixed Income

Real Assets


Multi-Asset & Solutions

Our Fixed Income platform delivers investment solutions that span the quality and yield spectrum. Active management, in-depth fundamental research, and downside risk management are at the core of our approach.

Our Real Assets platform focuses on delivering yield-oriented debt and equity strategies spanning the risk/return spectrum.

Our Equities platform provide high-conviction, actively managed portfolios that blend qualitative and quantitative analysis in an effort to identify companies the market under appreciates and undervalues.  Stock selection is typically a primary driver of portfolio return. 

We believe that asset allocation is a primary driver of investment returns and diversifying portfolios across a wide range of lowly-correlated investments can help reduce risk. Within our Multi-Asset platform, we employ a thematic multi-asset approach that reflects our conviction views.