Nordea Avkastning

Mutual Fund Oslo, Norway ·Founded 1981

Overview

Nordea Avkastning is a Norwegian mutual fund managed by Nordea, focusing on investments in Norwegian equities. The fund aims to provide investors with exposure to the Norwegian stock market, offering a diversified portfolio of companies listed on the Oslo Stock Exchange. It is designed for investors seeking to participate in the growth and performance of Norwegian businesses. The fund employs an active management strategy, selecting stocks based on fundamental analysis and market trends. It targets companies across various sectors, including energy, finance, and consumer goods, to achieve a balanced and diversified investment approach. The fund is suitable for investors with a medium to high risk tolerance, aiming for long-term capital appreciation. As part of Nordea's commitment to sustainable investing, Nordea Avkastning integrates environmental, social, and governance (ESG) factors into its investment process. This approach seeks to identify companies with strong ESG practices, aligning with the growing demand for responsible investment options. The fund is managed by a team of experienced professionals dedicated to delivering competitive returns while adhering to Nordea's sustainability principles.

Investment Focus

  • Medium to high risk tolerance
  • Long-term investment horizon

Portfolio Companies

Kongsberg GruppenYara InternationalTelenorDNBAker BPStorebrandOrklaAker SolutionsStatkraftGjensidige Forsikring

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Frequently asked questions about Nordea Avkastning

What sectors does Nordea Avkastning invest in?

Nordea Avkastning invests in Financial Services, and is based in Oslo, Norway. Nordea Avkastning is listed as a mutual fund in the ConnectSafely investor database.

What stage does Nordea Avkastning invest at?

Nordea Avkastning backs companies at Growth and Late Stage.

Which regions does Nordea Avkastning invest in?

Nordea Avkastning invests across Norway.

What companies has Nordea Avkastning invested in?

Nordea Avkastning's portfolio includes Kongsberg Gruppen, Yara International, Telenor, DNB, Aker BP, Storebrand, Orkla and Aker Solutions.

Last updated · Source: ConnectSafely investor database