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Professional Investor - Netherlands

Investment Strategies

Credit

High conviction equity strategies with a clear purpose

Our credit offering is built around a focused set of actively managed strategies, targeting areas of the market where disciplined risk management and careful pricing analysis can add value. We concentrate on parts of the credit universe where inefficiencies persist and where active oversight can help protect capital while supporting long‑term returns. Sustainability considerations are embedded within our approach as part of prudent risk management.

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Strategy

Euro Credit

Our credit investment strategies adopt an active sustainable investment and risk management approach which we refer to as “alpha-by-control”: designed to secure attractive yields for investors, a lower carbon footprint as well as create and preserve additional value by capitalising on credit market inefficiencies and mispricings.

Read more about our Euro Credit strategy
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Strategy

Opportunities Bond

We invest primarily in Euro-denominated corporate credits that have a BB rating, alongside subordinated bonds with the aim of earning attractive total return (income and capital appreciation) over the long term.

Read more about our Opportunities Bond strategy
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Whitepaper

Natural Capital 3.0

Discover how regenerative farmland investing is evolving, and how land quality, governance and real assets can support long‑term value creation.

Discover Natural Capital 3.0

Credit insights

Fund library

You can invest in one or more of our strategies by investing in related funds or through a tailor-made mandate with our specialists. For more sustainability-related information, please refer to the sustainability-related information section of the fund library. You can also visit the fund library to find detailed information on our funds.

There’s a saying in Dutch, Kom verder, it means many things and it’s our business philosophy. It captures the way we work with clients but also the way we steer our investee companies to deliver shareholder value through active engagement.

Capital at risk. The value of investments and the income from them can fall as well as rise, and investors may not get back the amount originally invested. Past performance provides no guarantee for the future.