Aegon Asset Management is a global asset manager headquartered in The Hague, Netherlands and is a wholly owned subsidiary of Aegon Ltd. The firm provides investment management, advisory, fiduciary management, and insurance asset management services to institutional investors, pension funds, insurance companies, financial intermediaries, sovereign institutions, and wholesale clients. Its investment platform spans fixed income, equities, multi-asset, real assets, private assets, and responsible investment strategies, serving clients across Europe, the Americas, and Asia.
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As of 12/2025Aegon Asset Management is a asset manager with approximately $287.5B in assets under management, headquartered in Netherlands, founded in 1983. It has a network connectivity score of 100 out of 100 on DataBane, reflecting the breadth of its relationships across LPs, GPs, and portfolio companies. Market position: Giant ($100–500B). Investment style: Multi-asset. Primary geographic focus: Europe. Data verified by DataBane analysts.
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Aegon Asset Management — News
Launched the Aegon AAA ABS Fund, providing institutional investors exposure to AAA-rated asset-backed securities across Europe, the US and Australia, expanding Aegon AM's structured credit offering.
Expanded guarantee agreement with the European Investment Fund (EIF), enabling up to €407 million of financing for Dutch SMEs and small mid-cap companies under the InvestEU programme.
Aegon updated its adviser platform by closing one Mercer Governed Portfolio fund and making changes to its governed portfolio range as part of ongoing investment product governance.
Aegon announced the integration of private market investments into its LifePath retirement investment solution, expanding long-term diversified investment exposure for pension members.
The Aegon Diversified Monthly Income Fund doubled investors' money since inception and achieved first-quartile performance across all measured time horizons.
Aegon presented its long-term strategy, capital allocation priorities, and business outlook, including its asset management operations and investment platform.
Aegon announced a strategic review of its UK operations, including evaluating a potential divestment. The company stated that Aegon Asset Management is separate from Aegon UK and is not included in the review, confirming the asset manager continues to operate independently within the group.
The Aegon Global Sustainable Sovereign Bond Fund exceeded €500 million in assets under management, highlighting strong institutional demand for ESG-focused sovereign bond strategies.
Introduced the UK-domiciled Aegon Global Income Fund, targeting premium dividend income and long-term capital appreciation using Aegon AM's established global equity income strategy.
Launched the Aegon Capital Call Finance Fund, a Luxembourg RAIF providing institutional investors access to global capital call finance opportunities, building on €84 billion of alternative fixed income capabilities as of 31 March 2025.