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Our Equity & Fixed Income Funds

We offer a wide range of equity and fixed income strategies aligned with our focus on sustainability. We combine investment expertise with long-term responsibility to create portfolios that aim to deliver strong returns, resilience and solutions tailored to client needs.

Active Equity Funds

Impact: Storebrand Funds

Our thematic global equity strategies invest in companies delivering solutions for a more sustainable future – renewable energy, smart cities, circular economy and equal opportunities. The funds actively support the UN Sustainable Development Goals while aiming for competitive long-term returns.

Norwegian Equity: Storebrand Funds

Managed by an experienced team with deep local insight, our Norwegian equity strategies combine active ownership with sustainability integration to maximise long-term risk-adjusted returns in our domestic market.

Value: SKAGEN

SKAGEN’s active, value-driven philosophy targets undervalued companies worldwide with the potential to deliver strong risk-adjusted returns over time. As part of Storebrand’s multi-boutique platform, SKAGEN brings high-conviction, bottom-up investing to our clients.

Momentum: Delphi

Delphi applies a momentum-led approach, investing in companies and sectors benefiting from positive earnings and market trends. With an agile, research-driven process based on fundamental analysis, Delphi seeks to capture opportunities early and deliver long-term outperformance. Delphi is part of Storebrand’s multi-boutique family.

Passive Equity Funds

Plus Funds: Enhanced Sustainability Screening

We offer low-cost equity portfolios that seek alignment with the goals of the Paris Agreement and the transition to a low-carbon economy. Our Plus funds offer broad market exposure with enhanced sustainability criteria and use portfolio optimisation to avoid unnecessary sources of expected tracking error. 

Index & Index-Based Funds

Our index and index-based strategies provide cost-efficient, diversified exposure to broad equity markets. We integrate ESG filters in line with Storebrand AM’s sustainable investment policy and use optimisation techniques to replace excluded companies with others sharing similar characteristics, with the aim of minimising tracking error.

Factor Funds

Multi-Factor Funds

Our multi-factor strategies target empirically tested drivers of long-term performance – such as value, momentum, quality and size. We combine these factors to build diversified portfolios designed to improve risk-adjusted outcomes over time, with sustainability considerations integrated throughout the investment process.

Fixed Income Funds

Liquidity Funds: Secure, Liquid & Stable

We offer secure, liquid solutions for short-term capital management. By investing in high-quality, low-risk instruments, our liquidity funds aim to provide stability and predictable outcomes – well suited to investors prioritising capital preservation. 

Investment Grade Bonds: Diversified

Our strategies invest across government and corporate debt with a range of maturities. Focusing on credit quality, yield opportunities and sustainability factors, these funds provide stable income and effective diversification for balanced portfolios.

 

High Yield Bonds: High Return & Selective

We target higher-yielding corporate issuers through selective, research-driven exposure. Combining rigorous credit analysis with ESG integration, our high yield funds seek attractive return potential while actively managing downside risks.

Multi-Asset Funds

Multi-Asset Strategies

We offer multi-asset solutions that bring together equities, fixed income and alternative strategies within a single, actively managed framework. Designed for a range of risk profiles and objectives, these solutions integrate sustainability and climate considerations with dynamic allocation to pursue long-term, risk-adjusted returns.

Want to know more?

Contact us

We align client needs with the right expertise to build sustainable investment strategies. This section provides details of branch addresses, team listings and media contacts. 

Investor information

Learn how professional investors can access and trade our fund offerings. This section provides guidance on trading procedures, requirements and the resources available to support your investment activities.

Historical returns are no guarantee for future returns. Future returns will depend, inter alia, on market developments, the fund manager’s skills, the fund’s risk profile and management fees. The return may become negative as a result of negative price developments. There is risk associated with investing in funds due to market movements, currency developments, interest rate levels, economic, sector and company-specific conditions. The funds are denominated in NOK. Returns may increase or decrease as a result of currency fluctuations. Prior to making a subscription, we encourage you to read the fund's prospectus and key investor information document which contain further details about the fund's characteristics and costs.