# Accunia

Accunia is an Asset Manager based in Copenhagen, Denmark.

## Overview

- **Organization type:** Asset Manager
- **Headquarters:** Copenhagen, Denmark
- **Region:** Europe
- **Address:** Copenhagen, Denmark
- **Founded:** 2002
- **Assets under management:** Undisclosed
- **Website:** accunia.com
- **LinkedIn:** https://dk.linkedin.com/company/accunia

## Regulatory record

- **Reports private funds:** No

## About

Accunia is a specialized asset manager focused on alternative credit investments in the European credit market. The company has made investments totaling more than €2bn and has generated an annual return of more than 8.4% since 2009. Accunia is based in Copenhagen and has a team of experienced professionals.

## Sectors

- Private Credit
- Hedge Funds
- Fixed Income

## People

- Jens Erik Høst — CEO & CIO
- Mads E. Pedersen — Chief Risk Officer

## Questions

### Who runs investment decisions at Accunia?

Jens Erik Høst serves as CEO and CIO. He founded the firm in 2002 and leads the investment committee alongside a team of sector-focused credit analysts. Day-to-day portfolio decisions cross through the internal rating committee, which Høst chairs.

### How does Accunia source its loan pipeline?

Accunia sources primarily through direct origination, leveraging relationships with European mid-market companies, sponsors, and debt advisors built over two decades. The firm also participates in club deals and syndicated transactions where it can take a lead or co-lead role. This direct model bypasses wide auction processes, which the firm argues yields better pricing and covenant packages.

### Does Accunia participate in fund commitments or only direct deals?

Accunia executes direct lending and purchases CLO tranches in the secondary market, but does not allocate to third-party private-debt funds. Its product suite includes closed-end credit funds that blend originated loans with structured-credit investments, giving investors exposure to both primary-origination alpha and liquid credit relative value.

### Which sectors does Accunia explicitly avoid?

The firm avoids speculative real estate development, commodities, and pure startup lending where cash flows are negligible. It has also publicly distanced itself from fossil-fuel extraction financing, aligning with the ESG mandates of its Nordic institutional limited partners.

## Related profiles

- [Accru Wealth Strategies](https://altss.com/profile/accru-wealth-strategies)
- [Accurafy4](https://altss.com/profile/accurafy4)

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Last updated: 2026-07-10T19:03:23.000Z

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