Asset Management

Exceed Capital

We manage and develop assets across Exceed Group’s subsidiaries, building innovative and responsible business models that create lasting value for people, communities, and the planet.

RETURN ON EQUITY

16%

Pr. 30/09/2025

Key figures 2025

Liquidity ratio

166%

Pr. 30/09/2025

Rate of return

12%

Pr. 30/09/2025

Solvency degree

52%

Pr. 30/09/2025

Degree of capacity

42

Pr. 30/09/2025

Equity capital

Equity capital

3.203.847 DKK

Return on equity

16%


Annual accounts

2025 Annual account

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2024 Annual account

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2023 Annual account

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2022 Annual account

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2021 Annual account

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Investment Strategy

At Exceed Capital, we see sustainability as an investment strategy with both social and financial impact. We build portfolios with exchange-traded funds (ETFs) that combine returns with responsibility. SPY and VUG give us exposure to growth and leading US companies, while SDY and VNQ focus on stable dividends and responsible property management. Through VTWO and SCHE, we invest in small and emerging markets driven by green transition. The CATH ETF ensures that we exclude companies that do not meet high ethical and environmental standards. With this approach, we not only create financial value, but also sustainable solutions.