Klaus Blaabjerg

Senior Portfolio Manager

Klaus joined Impax Asset Management in July 2024 and is co-Portfolio Manager of the Global High Yield bond strategy and a member of the Emerging Market Corporate bond team and Credit Strategy Group.

Klaus started his career in 1999 at Realkredit Danmark as a Risk Manager. In 2000 he became the responsible fund manager for Nykredit Invest Engros Eurokredit. After Nykredit, Klaus was employed as a senior portfolio manager at Bankinvest, responsible for launching and managing Bankinvest Corporate Credit, a Global Investment Grade fund. Klaus joined Sparinvest in August 2005 where he was responsible for Credit Products at Sparinvest. Klaus resigned from his position at Sparinvest May 2014 having grown the Credit business from zero to €2bn+ together with Sune, Toke and Peter.  

Klaus attended the University of Copenhagen where he earned an MSc in Economics. 

Scroll to top
To get started, please select your location and investor type below.

If you are invested in Impax Funds – regardless of share class (Investor, Institutional, or Class A) or account type (individual, business or other entity) please select Impax Funds Investor as your Investor Type.

Access Impax Asset Management Limited’s Form CRS here.

Important Information

I confirm that my investor role is [investor_type] and I am based in [investor_country] and I have read and understood the important information, privacy policy and terms and conditions which govern the use of this website.

Risk Warning

Capital at risk. The value of investments may go up or down and is not guaranteed.