Holberg Norge
Overview
Holberg Norge is an actively managed equity fund that focuses on investing in Norwegian listed companies. The fund employs a long-term investment approach, recognizing that value creation in businesses occurs over several years. It is managed independently of any index and maintains a concentrated portfolio. The fund seeks quality companies with sustainable business models, strong balance sheets, owner-focused management, and attractive valuations. The management team comprises Robert Lie Olsen, Jørgen Müller, and Leif A. Frønningen, who are all portfolio managers specializing in equities. The fund's investment strategy is designed to identify and invest in companies that demonstrate these characteristics, aiming to deliver superior returns to its investors over time.
Investment Focus
- Investment horizon: At least 6 years
- Suitable for investors seeking exposure to the Norwegian equity market
Portfolio Companies
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Unlock full contacts →Frequently asked questions about Holberg Norge
What sectors does Holberg Norge invest in?
Holberg Norge invests in Financial Services, Technology, Healthcare, Energy, Consumer Goods and Industrials, and is based in Vestland, Norway. Holberg Norge is listed as a mutual fund in the ConnectSafely investor database.
What stage does Holberg Norge invest at?
Holberg Norge backs companies at Growth, Late Stage, Pre-IPO, Buyout, Turnaround and Distressed, writing cheques of 1M - 50M.
Which regions does Holberg Norge invest in?
Holberg Norge invests across Norway.
What companies has Holberg Norge invested in?
Holberg Norge's portfolio includes Norconsult ASA, Mowi ASA, Aker BP ASA, Orkla ASA, SpareBank 1 SMN Depository Receipts, Storebrand ASA, SalMar ASA and Europris ASA.
Last updated · Source: ConnectSafely investor database

