About us

Storebrand Asset Management is part of the Storebrand Group, managing NOK 1200 billion of assets for Nordic and international clients.

A key guiding principle in our work is to generate the best possible risk-adjusted returns for our clients, while not compromising the ability of future generations to meet their own needs.

 

Storebrand Asset Management at a glance


1200


AuM NOKbn

369


Employees

24


Nationalities

6


Offices

Multi-boutique approach

We operate in a multi-boutique business model. Storebrand Asset Management, Storebrand Fonder, SKAGEN, Delphi, Cubera Private Equity and Capital Investment each have with their own autonomous and complementary strategies, sharing common operational and technical platforms, policies and principles.

This approach allows us to adapt to shifting investment markets and to our clients' varied investment demands and objectives.

Through this model we offer a single point of access to world-class investment boutiques and expertise in:  

  • Fixed income 
  • Equities 
  • Alternative investments such as Real Estate, Infrastructure, Private Equity and Private Debt.
  • Asset allocation 

Sustainability pioneer

Storebrand Asset Management is a pioneer in the field of sustainable investments since the mid 1990s and  a founding signatory of the UN Principles for Responsible Investment (PRI). We take a holistic and integrated approach to ESG, aiming for real impact and long-term value creation.

Historical returns are no guarantee of future returns. Future returns will depend, among other things, on market developments, the manager's skills, the fund's risk profile and management fees. The returns can be negative as a result of price losses. There is risk associated with investments in the fund due to market movements, developments in currency, interest rates, economic conditions, industry- and company-specific conditions. Before investing, customers are advised to familiarize themselves with the fund's key information and prospectus, which contains further information about the fund's characteristics and costs.