Value beyond return

Storebrand Asset Management

Storebrand Asset Management is a leading asset manager in the Nordic region, providing cutting-edge sustainable investment solutions. 

Through ingenuity and integrity, we are constantly pushing boundaries to help clients build future-proof investment portfolios.

Products

View our funds and alternative investments

Conventional funds

Domestic and international clients partner with us to build diversified investment portfolios that endure a variety of market conditions and investment horizons.
 

Alternative investments

We offer clients a broad platform for accessing alternative investment strategies in Nordic and international markets, built on specialist expertise across multiple asset classes with an extensive local Nordic presence.

Sustainability pioneer

Our journey started in the mid 1990s and we are a founding signatory of the UN Principles for Responsible Investing.​​

We firmly believe that investing in companies that are well positioned to deliver on the UN Sustainable Development Goals can provide better risk-adjusted returns over time.​​

We take a holistic and integrated approach to ESG, aiming for real impact and long-term value creation. 

Invest with us

Management

Meet our management and board of directors.

Client executives

Find contact information for regional teams and directors.

Connect

Our portal for institutional clients. Reports and updated insights on portfolio.

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.