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Our Brands

With full investment freedom, each of our specialist brands offers tailored strategies across asset classes.

Through SKAGEN, Delphi, Cubera, Capital Investment, AIP and our own Storebrand strategies, we combine a range of philosophies – all united by investment expertise and a shared goal of maximising risk-adjusted returns for our clients.

Storebrand

Storebrand offers a broad selection of investment solutions, including conventional funds and real estate investments, under the Storebrand brand.

AIP Management

Leading the energy transition
AIP is an investment manager dedicated to renewable energy and infrastructure assets across Europe and North America.

With a team conmprising around 75 highly skilled professionals with extensive industry and investment experience. AIP is located in Copenhagen, London, Madrid and New York.

Capital Investment

Shaping the future of property investments in Denmark

Capital Investment is a leading property manager with expertise in asset management and property development. We work closely with our investors to maximize the value of their property portfolios through strategic advice and efficient management.

By delivering a comprehensive property investment management package, Capital Investment aims to be the preferred Danish partner for investors seeking opportunities in residential and commercial properties.

 

Cubera

Your Nordic private equity partner

Cubera is our dedicated private equity specialist with a range of Nordic and international fund-of-funds. Established in 2006, Cubera has a long track-record of origination and manager selection, providing tailored exposure to leading buyout managers across the US and Europe. Programmes include primaries, secondaries and co-investments, resulting in diversified portfolios of top-tier funds across different vintages.

Delphi Funds

Momentum and trend driven

Delphi stands for flexible, tactical equity investing within Storebrand’s multi‑boutique platform. Its momentum-driven investment strategy combines trend and fundamental analysis to identify companies with sustained performance potential.

Delphi's goal is to maximise risk-adjusted excess returns over time, regardless of which investment style the market favors at any given moment, by identifying stock price trends and revisions in analysts’ estimates, combined with the portfolio managers' qualitative insights and assessments.

SKAGEN

Contrarian approach, independent thinking

The SKAGEN funds have established a long track-record of delivering alpha for investors through a range of equity strategies guided by an active value-oriented investment philosophy.

The portfolio managers are dedicated stock pickers who conduct their own in-depth company research and analysis. Pursuing a long-term and often contrarian investment approach, they are willing to invest in overlooked or out-of-favour companies in order to provide unitholders with the best possible risk-adjusted returns.

Historisk avkastning er ingen garanti for framtidig avkastning. Fremtidig avkastning vil som blant annet bero på markedsutviklingen, forvalternes dyktighet, fondets risikoprofil og forvaltningshonorar. Avkastningen kan bli negativ som følge av kursnedgang. Det er risiko forbundet med investering i fond på grunn av bevegelser i markedet, valutautvikling, rentenivå, samt konjunktur-, bransje- og selskapsforhold. Avkastningen kan øke eller minke som følge av valutakursendringer. Før du investerer, oppfordrer vi deg til å lese fondets prospekt og nøkkelinformasjon, som inneholder ytterligere detaljer om fondets egenskaper og kostnader.