For institutions
We are one of Finland's oldest asset management companies and a Nordic pioneer in alternative investments. Our unique expertise, which is built especially around real assets, has been created as a result of decades of work.

Experience, commitment and expertise as strengths
We have extensive experience in asset management and investment markets. It has taught us to look beyond short-term economic cycles. We understand that real and sustainable results in asset management are achieved by committing to managing and growing our clients' wealth in the long term. Our key strengths are our team's long-term experience and deep expertise. The majority of the key personnel in asset management are also shareholders of our company. This helps us to ensure consistency in our client relationships and sustain excellent customer service. Our team of experts is ready to support our clients at all stages of asset management – from planning to implementation and follow-up.

Real Assets
Real assets are very well suited to nearly all investment portfolios, helping diversify risk and protect the portfolio’s value against inflation.

Responsible investing
We consider how environmental and social responsibility, along with good governance, are implemented in our investment holdings.

United Bankers receives SFR Platinum Award - Best Challenger category provider for institutional investors
United Bankers’ long-term work as an asset manager focusing on real assets, in particular, made the company the best service provider in the category based on nine quality criteria. Read the full article in English on unitedbankers.com.
Comprehensive services from asset management to high-quality investment solutions
We have diverse expertise in different asset classes, and we consider broad diversification a key factor in achieving stable return expectations. In our asset management, we combine cost-efficient index investments with actively managed solutions. We manage comprehensive investment mandates for institutions, tailored individually to each institution’s investment policy and strategy. We help institutions clearly define their investment objectives and, through scenario analysis, illustrate the likelihood of achieving those objectives under different investment strategies.
Our special expertise relies on the market's highest-quality real assets, such as forests, real estate and renewable energy. Our know-how in alternative investments and the realisation of return expectations have been proven to be top-notch [1].
Our decision to focus on real asset investments is no coincidence; we have recognized their numerous benefits in building a balanced investment portfolio. Investments in real assets generate a steady cash flow, protect against inflation and provide an opportunity for a good risk-return ratio.
We are especially known for our forest investment solutions. We are one of Europe's leading forest asset managers and, through our funds, we are the fourth largest private forest owner in Finland. Our wide-ranging and in-depth expertise in the forest sector is also recognised by major international investors.
Real estate is a significant asset class and it is a key part of a well-diversified investment portfolio. Our expertise in the real estate sector covers both direct and listed investments. Our selection also includes funds investing in energy and listed infrastructure. Our renewable energy fund invests in, among other things, wind and solar power as well as electricity storage. Our infrastructure funds are pioneers in their field and, over their long history, have provided investors with competitive and stable returns.
Sustainable investment solutions
Promoting sustainable development is at the core of our operations, and we want to be part of solving global climate and environmental challenges together with our clients. Responsibility is a key part of everything we do, and our spearhead funds support the transition to a low-carbon economy and help replace fossil raw materials.
We believe that sustainability has a positive impact on the success of investments and improves their expected returns. In the long term, our goal is to reduce the negative climate impacts of investments and increase their positive impacts on the environment and society.
We signed the UN Principles for Responsible Investment in 2012. Our ratings in the PRI assessment of responsible investment practices are at an excellent level [2].
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[1] SFR Institutional Research 2025
[2] United Bankers' public PRI performance report and transparency report are available on the website under Commitments and principles