Nordic equities

Nordic equities

Contact us

Any enquiries or questions in regard to the products can be directed to:

Atilla Olesen
Global Head of Asset Management Distribution

Parallelvej 17
DK-2800 Kgs. Lyngby
Tel.: (+45) 45 13 97 62

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Danish equities

The objective of this strategy is to generate a return which is higher than the return on Danish equities. The strategy mainly invests in equities listed on Nasdaq Copenhagen. The investment style is focused with a concentrated portfolio.

The investment strategy is active. This means that we aim to find the best investments to generate the highest possible return with due consideration to risk. The strategy implies that the investments in the portfolio may deviate from the benchmark, and that returns can be either higher or lower than the benchmark.
 

Swedish equities

The objective of this strategy is to generate a return at least equal to the return on the Swedish equity market and the strategy mainly invests in equities listed on the OM Stockholm Exchange.

The investment strategy is active. This means that we aim to find the best investments to generate the highest possible return with due consideration to risk. The strategy implies that the investments in the portfolio may deviate from the benchmark, and that returns can be either higher or lower than the benchmark.
 

Norwegian equities

The objective of this strategy is to generate a return at least equal to the return on the Norwegian equity market.

The main part of the fund's assets is invested in a wide range of the leading companies listed on the Oslo Stock Exchange, normally between 25 and 35 companies. The fund invests exclusively in Norwegian equities and is a UCITS-fund.

The investment strategy is active. This means that we aim to find the best investments to generate the highest possible return with due consideration to risk. The strategy implies that the investments in the portfolio may deviate from the benchmark, and that returns can be either higher or lower than the benchmark.
 

Finnish equities

The objective of this strategy is to achieve long-term value increase on the invested assets through active asset management pursuant to the Act on Common Funds and the fund’s regulations.

The assets are invested in publicly traded equities and equity-linked securities whose issuer is a company that is Finnish, operates in Finland, is listed in Finland or is highly dependent on the Finnish economy. The investments are focused on the equities of the most significant Finnish companies.