NN Investment Partners acted as an advisor to a public sector investor during the European sovereign debt crisis. The investor faced pressure to sell bonds from negatively impacted countries in its portfolio. NN Investment Partners engaged stakeholders in rational discussions, explaining the risks of selling bonds and the consequences for yields, fees, and income. Their expertise allowed the investor to make an informed decision to avoid hasty, emotionally-driven sales that would have been financially detrimental. NN Investment Partners provided analysis to support the investor facing pressure or criticism over its decisions.