Storebrand Kapitalforvaltning AS
Overview
Storebrand Kapitalforvaltning AS is a prominent Norwegian asset management firm that provides comprehensive investment solutions to both institutional and retail clients. The company specializes in managing a diverse portfolio that includes fixed income, equity, private equity, real estate, and infrastructure assets. With a strong emphasis on sustainable investment practices, Storebrand Kapitalforvaltning AS integrates environmental, social, and governance (ESG) criteria into its investment strategies, aiming to deliver superior risk-adjusted returns while promoting responsible investment practices. The firm's investment approach is characterized by a focus on various stages of investment, including growth, late stage, pre-IPO, buyout, turnaround, and distressed situations. This diversified strategy allows Storebrand Kapitalforvaltning AS to cater to a broad spectrum of investment opportunities across different market conditions. The company's geographical focus spans multiple countries, primarily within the Nordic region and extending to select European markets, enabling it to leverage regional expertise and capitalize on cross-border investment prospects. Storebrand Kapitalforvaltning AS has a proven track record in asset management, managing over NOK 1,600 billion in assets. The company's commitment to sustainability is reflected in its investment philosophy, which seeks to align financial performance with positive societal impact. By integrating ESG factors into its investment decisions, Storebrand Kapitalforvaltning AS aims to contribute to the achievement of the United Nations' Sustainable Development Goals, thereby fostering long-term value creation for its clients and stakeholders.
Investment Focus
- Preferred investment horizon: 5-10 years
- Target return: 5-7% per annum
- Geographical focus: Nordic region and select European markets
- Asset class focus: Diversified portfolio including fixed income, equity, private equity, real estate, and infrastructure
- Investment stage: Growth, late stage, pre-IPO, buyout, turnaround, and distressed situations
- ESG criteria: Integration of environmental, social, and governance factors into investment decisions
- Liquidity: Investments may be illiquid; clients should have a long-term investment horizon
- Risk tolerance: Moderate to high
- Client profile: Institutional investors, including pension funds, insurance companies, and sovereign wealth funds
Portfolio Companies
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Unlock full contacts →Frequently asked questions about Storebrand Kapitalforvaltning AS
What sectors does Storebrand Kapitalforvaltning AS invest in?
Storebrand Kapitalforvaltning AS invests in Financial Services, Real Estate, Infrastructure, Banking, Insurance and Asset Management, and is based in Viken, Norway. Storebrand Kapitalforvaltning AS is listed as a institutional investor in the ConnectSafely investor database.
What stage does Storebrand Kapitalforvaltning AS invest at?
Storebrand Kapitalforvaltning AS backs companies at Growth, Late Stage, Pre-IPO, Buyout, Turnaround and Distressed, writing cheques of 1M - 100M.
Which regions does Storebrand Kapitalforvaltning AS invest in?
Storebrand Kapitalforvaltning AS invests across United Kingdom, Germany, France, Italy, Denmark and Switzerland.
What companies has Storebrand Kapitalforvaltning AS invested in?
Storebrand Kapitalforvaltning AS's portfolio includes Storebrand ASA, Skagen Funds, Delphi Funds, AIP Management and Capital Investment.
Last updated · Source: ConnectSafely investor database



