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Holberg Global A

Holberg Global is an actively managed global equity fund primarily investing in listed companies all over the world.

01.06.2023

Rate

512.44

Since start*

10.4%

This year

28.6%

1 year

16.4%

3 years*

14.5%

5 years*

15.1%

10 years*

15.6%

*Returns beyond 12 months are annualised

The Fund has a defined investment approach, based on the belief that creating shareholder value in a company is a long-term process. The Fund’s portfolio is managed independently of the composition of the benchmark. The Fund has a concentrated portfolio where each company has a meaningful weight and thereby a disciplinary effect in the portfolio construction. The Fund is managed with a “bottom-up” focus, using internal models and research input in combination with company visits. We are looking for companies with high return on capital and strong growth prospects in attractive industries. In addition we look for a strong management with documented focus on shareholder value and risk management. Finally favour attractive valuation.

Fund return

Period

Pr. 01. June 2023

Calculate return

Return per 01. June

Fund Bencmark index Excess return
Since start* 10.4% 10.5% 0.0%
This year 28.6% 23.8% 4.8%
Last 12 months 16.4% 22.4% -6.0%
Last 3 years* 14.5% 16.4% -1.9%
Last 5 years* 15.1% 14.7% 0.5%
Last 10 years* 15.6% 15.9% -0.3%

* Annual Average Return

Portrett av Harald Jeremiassen

Harald Jeremiassen

Portfolio Manager

Portrett av Leif

Leif A. Frønningen

Portfolio Manager

Funds largest investments

The fund's investments

Financials 19.0%
Information Technology 17.1%
Communication Services 13.7%
Health Care 13.5%
Consumer Staples 12.9%
Other 23.8%

5.2%

Ping An Insurance Group Co of China Ltd

5.0%

Alimentation Couche-Tard Inc.

5.0%

Bakkafrost

5.0%

Meta Platforms Inc

4.9%

Microsoft

4.9%

Alphabet Inc.

4.8%

Apple Inc

4.8%

Novo Nordisk

4.7%

Avanza Bank AB

4.7%

Thermo Fisher Scientific

4.6%

Mastercard Inc

4.1%

Amazon.Com Inc.

4.1%

UnitedHealth Group Inc

3.8%

Tencent Holding LTD

3.0%

Masco Corp

2.8%

Vinh Hoan

2.8%

Nvidia Corp

2.6%

Brookfield Corp

2.6%

Burford Capital LTD

2.4%

S&P Global Inc

2.4%

Toro Co

2.1%

Planet Fitness Inc

1.8%

Aker BP ASA

1.6%

Neinor Homes SA

1.5%

The Sherwin-Williams Company

1.5%

Brookfield Asset Management

1.4%

Deere

1.4%

Trex Company Inc

1.4%

Otovo AS

1.2%

Cash

1.0%

NTG Nordic Transport Group

0.8%

Cash

Facts

Total assets

NOK 4 616 mill.

Subscription amount

min. NOK 1.000

Benchmark index

MSCI World NOK

Annual management fee

1,5%

Redemption fee

0%

Subscription cost

0%