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Why choose SKAGEN?
If you are looking for quality rather than quantity, then SKAGEN's funds are for you.
When you invest in SKAGEN, you can expect:
- A few carefully managed equity and fixed income funds with a good track record.
- Actively managed funds whose objective is to deliver better returns than average over the long term.
- Funds you can combine to create a well-diversified portfolio to achieve your medium and long-term investment goals.
- Good personal service and follow-up
SKAGEN is characterised by:
Our investment philosophy is simple: to find investments that are mispriced by the market, but whose value is likely to be recognised in future, and which offer great potential for the risk taken. SKAGEN has a single house philosophy that we have applied consistently since start.
- Value focus
- Global mandates
- Active management
- Long-term focus
A commonality of interest
SKAGEN's portfolio managers invest in the funds they manage. Costs are based on how well our funds perform. We therefore share the same goals as our clients.
Managing funds is all we do. We only offer a few, carefully selected equity and fixed income funds.
Our head office is situated in Stavanger, Norway, and we steer clear of the noise in the world's financial markets. We often go our own way, against conventional wisdom.
Broad global focus
We invest in companies and bonds from all over the world and from a variety of industries.
We communicate in an open and honest manner, both in good times and in bad.
Long-term, stable parent
SKAGEN is part of Storebrand Asset Management, but remains an independent investment boutique reporting to its own Board.