A Nordic active boutique manager

Evli Fund Management Company Ltd is a Nordic fund management boutique established in 1989 focusing on institutional investors. Our funds are actively managed with an ESG overlay, a long time-perspective and focus on free cash flow. Our senior portfolio managers have an average of 10 years at Evli and 20 years’ industry experience.

Finland's best expertise in responsible investment

Evli has been awarded the SFR "Responsible Investment Award 2022" for the best expertise in responsible investing in asset management in Finland.

Evli's funds rewarded at the Lipper Fund Awards 2022

Lipper has handed out the 2022 Fund Awards in Europe. Evli's funds were successful also this year, both at a continental level and in major European countries.

Our Funds

Find out more about our award-winning funds and see the NAVs

Best fund house in Finland

Evli has been awarded as the best fund house in Finland by Morningstar. Evli, which recently became the third largest asset manager in Finland, was also among the top three in two other award categories. A strong client focus combined with a drive to be the best has always been in our DNA. Read more

Best in class managers

Evli maintains a portfolio management centric culture, with a stewardship mindset. Our investment style is truly active, fostering independent thinking and focusing on true credit quality rather than index compositions. Senior portfolio managers have an average of 10 years at Evli and 20 years' industry experience.

Portfolio Managers

Read more and see the portfolio managers

Always putting clients first

Evli’s operations are based on a Stewardship philosophy, which means that the client’s best interest always come first. Stewardship is rooted in the Middle Ages and based on the idea of a steward managing an owner’s property as if it was his own while the owner is away. 

Net zero asset manager by 2050

Evli's climate targets aim to make a real impact on investments, businesses and the industry.

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Responsible investing

Evli's responsible investing consists of taking into account responsibility issues in investment decisions and engaging with target companies.


Evli's primary responsibility is to achieve the best possible return on our customers' investments. We believe that investors and companies that take account of sustainability factors will benefit in the long term. As a result, factors affecting the environment, society and governance (ESG factors) have been integrated into Evli's investment activities and portfolio management.