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Fondsfinans

Full company profile

uuid0021bdq

Namestring
Fondsfinans
Legal namestring
Fondsfinans Kapitalforvaltning AS
Websiteurl
fondsfinans.no
Company typeenum
Private
Founded yearint
1950
Descriptiontext

Fondsfinans Kapitalforvaltning AS is a privately held, Oslo-based Norwegian asset manager operating since 1997 as an independent entity (with brokerage roots back to 1950), wholly owned by the Must family through Must AS. The firm manages 20+ billion NOK across 10+ active mutual funds spanning equity (Global Utbytte, Norden Utbytte, Utbytte, Norge, Global Helse, Fornybar Energi), fixed income (Likviditet, Obligasjon, Kreditt, High Yield), and balanced (Aktiv 60/40) categories, with three equity funds classified under SFDR Article 8 and PRI signatory status supporting ESG-mandated flows.

The investment process is built on proprietary top-down and bottom-up valuation models ("egenutviklede modeller") for risk and return assessment, combined with an active ownership platform using Glass Lewis for 100% proxy voting coverage and Morningstar for monthly ESG exclusion screening. Distribution operates omnichannel: a BankID-authenticated direct client portal for retail, six Norwegian fund platforms (Nordnet, Kron, DNB, Skagen, Pareto, Nordea) for third-party retail, and four institutional infrastructures (Allfunds, Euroclear, Clearstream, Calastone) for B2B and institutional mandates.

Revenue is generated through tiered annual management fees (0.20% on Likviditet up to 0.45% on High Yield, with equity funds typically 1-2%) plus performance fees on Fondsfinans Global Helse and Fondsfinans Fornybar Energi. The team of ~20+ professionals is led by CEO/CIO Ivar Qvist and has been reinforced since 2021 with senior portfolio managers recruited from NBIM, DNB Markets, Société Générale, Arctic Securities, and Pareto Securities.

Short descriptiontext

Fondsfinans Kapitalforvaltning AS is an independent, Oslo-based Norwegian asset manager wholly owned by the Must family, managing 20+ billion NOK across 10+ active equity, fixed income, and balanced mutual funds for retail and institutional clients.

Operating statusenum
Operating
Ownership categoryenum
Headcount rangeband
11–50
akta.pro rankint
HeadquartersOslo, Norway
HQ citystring
Oslo
HQ countrystring
Norway
HQ regionstring
Europe
Markets served

Serves global market

Offices2 records

Each record includes

City, Country, Type, Description, Source

Keyword5 values
active asset management, mutual fund management, equity fund management, fixed income funds, nordic fund management
Industry1 code
1Portfolio Management–Led RIAs (Discretionary/Model-Based)
CodeFSAAACACPrimaryYes
NAICS code2 codes
  • Open-End Investment Funds525910
  • Funds, Trusts, and Other Financial Vehicles525
SIC code1 code
  • Investment Advice6282
Product category
Asset Management
Social media profiles2 records
GTM motion1 record

Each record includes

Type, Description, Source

Revenue model2 records
1Management Fees
TypeSubscription Recurring
Description

Annual management fees charged on assets under management. Fee rates vary by fund: High Yield 0.45%, Kreditt 0.35%, Obligasjon 0.25%, Likviditet 0.20%, equity funds typically 1-2%. No entry/exit fees except Utbytte (5% subscription fee).

fondsfinans.no
2Performance Fees
TypeSubscription Recurring
Description

Performance-based fees may apply for Fondsfinans Global Helse and Fondsfinans Fornybar Energi in addition to base management fees.

fondsfinans.no
Marketing channels6 records

Each record includes

Title, Type, Stage, Description, Source

Distribution channels3 records

Each record includes

Title, Type, Scope, Target buyer, Description, Source

Cost components6 values
Personnel, Operations, Technology or R&D, Marketing or Sales, Infrastructure, Others
Pricing details5 tiers
1Fondsfinans High Yield: 0.45% annual fee
ModelSubscriptionBilling cadenceAnnual
Notes

High Yield A minimum NOK 100,000. Target return between fixed income and equity. Recommended minimum investment horizon 3 years.

fondsfinans.no
2Fondsfinans Kreditt: 0.35% annual fee
ModelSubscriptionBilling cadenceAnnual
Notes

Moderate risk high yield fund investing in Nordic corporate bonds.

fondsfinans.no
3Fondsfinans Obligasjon: 0.25% annual fee
ModelSubscriptionBilling cadenceAnnual
Notes

Low risk bond fund for Norwegian corporate bonds. Minimum investment horizon 1+ year.

fondsfinans.no
4Fondsfinans Likviditet: 0.20% annual fee
ModelSubscriptionBilling cadenceAnnual
Notes

Low risk liquidity fund for excess liquidity. Minimum investment horizon 1 year.

fondsfinans.no
5Fondsfinans Utbytte: 5% subscription fee
ModelSubscriptionBilling cadenceOne time/ perpetual license
Notes

Exception to no-fee policy. 5% subscription fee introduced from September 12, 2025, payable to the fund for unitholder benefit.

fondsfinans.no
GTM typeB2C
B2C
Offering typeServices
Services
Core offering1 text field

Fondsfinans Kapitalforvaltning AS is an independent Norwegian asset manager that actively manages a platform of 11 mutual funds spanning equity, fixed income, and balanced categories for retail and institutional investors. The firm combines proprietary top-down and bottom-up valuation models with ESG integration and active ownership (proxy voting via Glass Lewis) to generate risk-adjusted returns, distributing funds through a BankID-authenticated direct portal, Norwegian fund platforms, and international institutional networks.

Differentiator
Functional benefit
Problem solved
Quantifiable outcome1 of 4 values shown
  • Fondsfinans High Yield: 9% annual return over 10 years (after costs), 10.4% over 5 years
+3 more records
Product overview1 text field

Fondsfinans Kapitalforvaltning offers a platform of 11 mutual funds spanning equity, fixed income, and balanced categories. The fund selection includes 7 equity funds (Global Utbytte, Norden Utbytte, Utbytte, Norge, Global Helse, Fornybar Energi, plus Aktiv 60/40 which has equity exposure), 4 fixed income funds (Likviditet, Obligasjon, Kreditt, High Yield), and 1 balanced fund (Aktiv 60/40). The funds are managed with active investment philosophy combining top-down and bottom-up approaches, with ESG integration across all offerings. Several funds (Norden Utbytte, Global Utbytte, Utbytte) are classified under SFDR Article 8, promoting environmental and social characteristics. The funds are available through direct investment via their client portal, multiple Norwegian fund platforms (Nordnet, Kron, DNB, Skagen, Pareto, Nordea), and international fund infrastructure networks (Allfunds, Euroclear, Clearstream, Calastone).

Product and service11 records
1Fondsfinans Global Utbytte
CategoryGlobal Equity Fund
Description

Global equity fund investing primarily in dividend-paying stocks listed or traded in developed markets, managed with ESG integration and active ownership approach. Classified under SFDR Article 8, promoting environmental and social characteristics.

2Fondsfinans Norden Utbytte
CategoryNordic Equity Fund
Description

Actively managed Nordic equity fund primarily invested in companies listed in the Nordic region, targeting high long-term returns relative to benchmark index while promoting ESG characteristics. Rated 5 of 5 stars from Morningstar, top 10% in category. Classified under SFDR Article 8.

3Fondsfinans Utbytte
CategoryNorwegian Equity Fund
Description

Norwegian equity fund focused on quality companies with high return on capital, solid balance sheets, and long-term dividend payment potential. A 5% subscription fee applies from September 12, 2025, payable to the fund for unitholder benefit. Classified under SFDR Article 8.

4Fondsfinans Norge
CategoryNorwegian Equity Fund
Description

Norwegian equity fund focused on companies listed on Oslo Stock Exchange, with multiple Lipper Fund Awards for risk-adjusted returns over 3, 5, and 10-year periods.

5Fondsfinans Global Helse
CategoryGlobal Sector Equity Fund
Description

Global equity fund specializing in healthcare sector investments. Performance-based fees may apply in addition to base management fees.

6Fondsfinans Fornybar Energi
CategoryGlobal Sector Equity Fund
Description

Equity fund focused on renewable energy sector investments, managed with ESG integration including environmental property promotion. Performance-based fees may apply in addition to base management fees.

7Fondsfinans Aktiv 60/40
CategoryBalanced Fund
Description

Balanced fund with approximately 60% equity and 40% fixed income allocation, offering moderate risk exposure across asset classes. Multiple Lipper Fund Awards for combination fund performance over 3 and 5-year periods.

8Fondsfinans Likviditet
CategoryNorwegian Liquidity Fund
Description

Short-term liquidity fund investing in Norwegian corporate bonds, offering efficient placement of excess liquidity with low risk. Annual fee 0.20%, minimum investment horizon 1 year.

9Fondsfinans Obligasjon
CategoryNorwegian Bond Fund
Description

Bond fund with low risk, investing in a broad mandate within Norwegian corporate bonds, suitable for companies and individuals seeking higher returns than high-interest accounts. Annual fee 0.25%, minimum investment horizon 1+ year.

10Fondsfinans Kreditt
CategoryNordic High-Yield Bond Fund
Description

High-yield bond fund with moderate risk, investing in a broad portfolio of high-yield bonds primarily issued by Nordic companies. Annual fee 0.35%, 7.7% ongoing yield (after costs). Multiple Morningstar and Lipper Fund Awards.

11Fondsfinans High Yield
CategoryNordic High-Yield Bond Fund
Description

Nordic high-yield fixed income fund with moderate to high risk, investing in a broad portfolio of bonds primarily issued by Nordic companies, offering returns between fixed income and equity funds over time. Annual fee 0.45%, 9% annual return over 10 years and 10.4% over 5 years (after costs), 8.4% ongoing yield. Multiple Lipper Fund Awards. Minimum NOK 100,000 for A-class.

Scale indicator3 records

Each record includes

Type, Value, Description, Source

Partnership9 partners
Strategic tierCoreTypeTechnology or IntegrationAnnounced on2021-01-01
Description

Partnership for proxy voting enabling Fondsfinans to vote at shareholder meetings in all portfolio companies. Agreement allows systematic voting at 100% of general meetings. Glass Lewis provides governance research and voting platform.

Strategic tierCoreTypeTechnology or Integration
Description

ESG data provider for monthly portfolio screening against exclusion criteria. Morningstar provides sustainability data for monitoring controversial events and exclusion compliance across all funds.

3UN PRI (UN Principles for Responsible Investment)
Strategic tierCoreTypeStrategic or Co-development Partner
Description

Signatory to UN PRI, committing to six principles for responsible investment. Reports annually on actions related to principles including incorporation of ESG factors in investment analysis and ownership practices.

fondsfinans.no
Strategic tierCoreTypeChannel Partner/ Reseller/ Distributor
Description

Distribution partner for retail fund sales in Norway. One of several platforms where investors can access Fondsfinans fund selection.

Strategic tierCoreTypeChannel Partner/ Reseller/ Distributor
Description

Distribution partner for retail fund sales in Norway.

Strategic tierCoreTypeChannel Partner/ Reseller/ Distributor
Description

Institutional fund distribution platform for larger investors and wealth managers.

Strategic tierCoreTypeChannel Partner/ Reseller/ Distributor
Description

Institutional settlement and fund distribution services.

Strategic tierCoreTypeChannel Partner/ Reseller/ Distributor
Description

Institutional fund distribution and settlement platform.

Strategic tierCoreTypeChannel Partner/ Reseller/ Distributor
Description

Fund distribution network connecting fund managers with distributors.

Recent move10 records

Each record includes

Date, Type, Title, Description, Source

Expansion highlight6 records

Each record includes

Type, Description

Peers10 records
TypeBroad incumbent
Description

Norway's largest asset manager part of DNB Group, offering extensive fund range distributed through DNB's banking platform. Directly competes with Fondsfinans on DNB's own fund platform and has substantially greater scale and resources.

TypeBroad incumbent
Description

Nordic asset manager (part of BNP Paribas Group) offering equity, fixed income and balanced funds across the Nordics. Competes with Fondsfinans in Nordic/Norwegian fund categories but operates with broader international parent backing.

TypeDirect peer
Description

Norwegian asset manager offering actively managed equity, fixed income and balanced funds, distributing through Norwegian fund platforms. Direct competitor in active management space serving Norwegian retail and institutional investors.

TypeDirect peer
Description

Norway-based active asset manager owned by Storebrand, offering equity and balanced funds focused on Nordic and global mandates. Directly competes in Norwegian retail distribution platforms and fund categories overlapping with Fondsfinans offerings.

TypeDirect peer
Description

Independent Norwegian active asset manager offering equity and fixed income funds with similar focus on active management, concentrated portfolios, and the Norwegian retail market. Comparable in size and independent ownership structure to Fondsfinans.

TypeDirect peer
Description

Norwegian active equity and fixed income manager owned by SpareBank 1, distributing through Norwegian platforms with active management philosophy. Competes with Fondsfinans in Norwegian equity and Nordic fund categories.

TypeDirect peer
Description

Norwegian-based asset manager with active equity and fixed income funds distributed through Norwegian platforms, with significant overlap in Nordic equity and credit strategies offered by Fondsfinans.

TypeBroad incumbent
Description

One of Norway's largest asset managers owned by Storebrand Group, offering broad equity, fixed income, and alternative strategies. Overlaps with Fondsfinans offerings but operates at much larger scale and as part of a wider financial services portfolio.

TypeBroad incumbent
Description

Norway's largest pension asset manager offering broad active equity and fixed income strategies with significant Nordic focus. Competes indirectly with Fondsfinans in Norwegian equity/credit and serves institutional clients in overlapping geographies.

TypeDirect peer
Description

Norwegian asset management arm of Pareto Group, offering equity and credit funds including Nordic high-yield strategies that directly overlap with Fondsfinans High Yield and Kreditt funds. Competes in same Norwegian retail and institutional channels.

Market position
Strengths4 records

Each record includes

Headline, Details, Source

Weaknesses4 records

Each record includes

Headline, Details, Source

Competitive moat4 records

Each record includes

Type, Details

Key risks5 records

Each record includes

Headline, Details, Source

Key highlights7 records

Each record includes

Headline, Details, Source

Customer concentration

Classification, Details

Named customers2 records

Each record includes

Name, Industry, Type, Use case, Source, UUID

Segment3 records

Each record includes

Title, Type, Primary, Description, Pain point addressed, Use case, Source

Ideal customer profile3 records

Each record includes

Profile, Firmographic size, Sales motion, Sales cycle length, Buying structure, Purchase trigger, Buyer persona, Geography, Industry vertical, Primary use case, Description, Pain points, Evidence proof points, Target buyer

Technology focused
No
API detail
Has APIbool
No

Docs URL, Description

Integration10 records

Each record includes

Title, Type, Description, Source

AI maturity
App detail

Has app

Feature3 records

Each record includes

Title, Differentiator, Description, Source

Core technology
Revenue estimate
Valuation estimate
Number of profiles
Profiles19 records

Each record includes

Name, Designation, Designation category, Overview, Profile commentary, Source

No data
Compliance1 record

Each record includes

Name, Class, Description

Funding overview

Funding stage, Last funding date, Total funding USD

Funding rounds

Each record includes

Round, Amount USD, Date, Pre money valuation, Total investors, Investors, News

Investors

Each record includes

Name, Type, Date of entry, Rounds participated, Website

Funding detail is available on the Subscription and Enterprise plan.Contact sales →

M&A

Each record includes

Name, Acquisition type, Announced date, Completed date, Status, Website, News

Investment

Each record includes

Name, Round, Announced date, Lead investor, Website, News

M&A and investment is available on the Subscription and Enterprise plan.Contact sales →

Fondsfinans

Asset Managementfondsfinans.no

Fondsfinans Kapitalforvaltning AS is an independent, Oslo-based Norwegian asset manager wholly owned by the Must family, managing 20+ billion NOK across 10+ active equity, fixed income, and balanced mutual funds for retail and institutional clients.

What Fondsfinans does

Fondsfinans Kapitalforvaltning AS is a privately held, Oslo-based Norwegian asset manager operating since 1997 as an independent entity (with brokerage roots back to 1950), wholly owned by the Must family through Must AS. The firm manages 20+ billion NOK across 10+ active mutual funds spanning equity (Global Utbytte, Norden Utbytte, Utbytte, Norge, Global Helse, Fornybar Energi), fixed income (Likviditet, Obligasjon, Kreditt, High Yield), and balanced (Aktiv 60/40) categories, with three equity funds classified under SFDR Article 8 and PRI signatory status supporting ESG-mandated flows.

The investment process is built on proprietary top-down and bottom-up valuation models ("egenutviklede modeller") for risk and return assessment, combined with an active ownership platform using Glass Lewis for 100% proxy voting coverage and Morningstar for monthly ESG exclusion screening. Distribution operates omnichannel: a BankID-authenticated direct client portal for retail, six Norwegian fund platforms (Nordnet, Kron, DNB, Skagen, Pareto, Nordea) for third-party retail, and four institutional infrastructures (Allfunds, Euroclear, Clearstream, Calastone) for B2B and institutional mandates.

Revenue is generated through tiered annual management fees (0.20% on Likviditet up to 0.45% on High Yield, with equity funds typically 1-2%) plus performance fees on Fondsfinans Global Helse and Fondsfinans Fornybar Energi. The team of ~20+ professionals is led by CEO/CIO Ivar Qvist and has been reinforced since 2021 with senior portfolio managers recruited from NBIM, DNB Markets, Société Générale, Arctic Securities, and Pareto Securities.

Fondsfinans firmographics

Firmographics
Name
Fondsfinans
Legal name
Fondsfinans Kapitalforvaltning AS
Website
https://fondsfinans.no
Company type
Private
Founded year
1950
Operating status
Operating
Headcount range
11–50 employees
Short description
Fondsfinans Kapitalforvaltning AS is an independent, Oslo-based Norwegian asset manager wholly owned by the Must family, managing 20+ billion NOK across 10+ active equity, fixed income, and balanced mutual funds for retail and institutional clients.
Ownership category
akta.pro rank

Fondsfinans industry classification

Industry
Product category
Asset Management
NAICS
Open-End Investment Funds (525910), Funds, Trusts, and Other Financial Vehicles (525)
SIC
Investment Advice (6282)
akta.pro primary industry
Portfolio Management–Led RIAs (Discretionary/Model-Based) (FSAAACAC)

Keywords

  • Active asset management
  • Mutual fund management
  • Equity fund management
  • Fixed income funds
  • Nordic fund management

Where Fondsfinans is headquartered

Location

Headquarters

HQ city
Oslo
HQ country
Norway
HQ region
Europe

Offices2 records

Markets served

Fondsfinans business model

Business model
GTM type
B2C
Offering type
Services
Cost components
Personnel, Operations, Technology or R&D, Marketing or Sales, Infrastructure, Others

Revenue model

  1. Management Fees: Annual management fees charged on assets under management. Fee rates vary by fund: High Yield 0.45%, Kreditt 0.35%, Obligasjon 0.25%, Likviditet 0.20%, equity funds typically 1-2%. No entry/exit fees except Utbytte (5% subscription fee).
  2. Performance Fees: Performance-based fees may apply for Fondsfinans Global Helse and Fondsfinans Fornybar Energi in addition to base management fees.

Pricing tiers

ModelBillingPrice
SubscriptionAnnualFondsfinans High Yield: 0.45% annual fee
SubscriptionAnnualFondsfinans Kreditt: 0.35% annual fee
SubscriptionAnnualFondsfinans Obligasjon: 0.25% annual fee
SubscriptionAnnualFondsfinans Likviditet: 0.20% annual fee
SubscriptionOne time/ perpetual licenseFondsfinans Utbytte: 5% subscription fee

Go-to-market motion1 record

Distribution channels3 records

Marketing channels6 records

Fondsfinans product offering

Product offering

Core offering

Fondsfinans Kapitalforvaltning AS is an independent Norwegian asset manager that actively manages a platform of 11 mutual funds spanning equity, fixed income, and balanced categories for retail and institutional investors. The firm combines proprietary top-down and bottom-up valuation models with ESG integration and active ownership (proxy voting via Glass Lewis) to generate risk-adjusted returns, distributing funds through a BankID-authenticated direct portal, Norwegian fund platforms, and international institutional networks.

Product overview

Fondsfinans Kapitalforvaltning offers a platform of 11 mutual funds spanning equity, fixed income, and balanced categories. The fund selection includes 7 equity funds (Global Utbytte, Norden Utbytte, Utbytte, Norge, Global Helse, Fornybar Energi, plus Aktiv 60/40 which has equity exposure), 4 fixed income funds (Likviditet, Obligasjon, Kreditt, High Yield), and 1 balanced fund (Aktiv 60/40). The funds are managed with active investment philosophy combining top-down and bottom-up approaches, with ESG integration across all offerings. Several funds (Norden Utbytte, Global Utbytte, Utbytte) are classified under SFDR Article 8, promoting environmental and social characteristics. The funds are available through direct investment via their client portal, multiple Norwegian fund platforms (Nordnet, Kron, DNB, Skagen, Pareto, Nordea), and international fund infrastructure networks (Allfunds, Euroclear, Clearstream, Calastone).

Differentiator

Problem solved

Functional benefit

Products and services

  • Fondsfinans Global Utbytte Global equity fund investing primarily in dividend-paying stocks listed or traded in developed markets, managed with ESG integration and active ownership approach. Classified under SFDR Article 8, promoting environmental and social characteristics.
  • Fondsfinans Norden Utbytte Actively managed Nordic equity fund primarily invested in companies listed in the Nordic region, targeting high long-term returns relative to benchmark index while promoting ESG characteristics. Rated 5 of 5 stars from Morningstar, top 10% in category. Classified under SFDR Article 8.
  • Fondsfinans Utbytte Norwegian equity fund focused on quality companies with high return on capital, solid balance sheets, and long-term dividend payment potential. A 5% subscription fee applies from September 12, 2025, payable to the fund for unitholder benefit. Classified under SFDR Article 8.
  • Fondsfinans Norge Norwegian equity fund focused on companies listed on Oslo Stock Exchange, with multiple Lipper Fund Awards for risk-adjusted returns over 3, 5, and 10-year periods.
  • Fondsfinans Global Helse Global equity fund specializing in healthcare sector investments. Performance-based fees may apply in addition to base management fees.
  • Fondsfinans Fornybar Energi Equity fund focused on renewable energy sector investments, managed with ESG integration including environmental property promotion. Performance-based fees may apply in addition to base management fees.
  • Fondsfinans Aktiv 60/40 Balanced fund with approximately 60% equity and 40% fixed income allocation, offering moderate risk exposure across asset classes. Multiple Lipper Fund Awards for combination fund performance over 3 and 5-year periods.
  • Fondsfinans Likviditet Short-term liquidity fund investing in Norwegian corporate bonds, offering efficient placement of excess liquidity with low risk. Annual fee 0.20%, minimum investment horizon 1 year.
  • Fondsfinans Obligasjon Bond fund with low risk, investing in a broad mandate within Norwegian corporate bonds, suitable for companies and individuals seeking higher returns than high-interest accounts. Annual fee 0.25%, minimum investment horizon 1+ year.
  • Fondsfinans Kreditt High-yield bond fund with moderate risk, investing in a broad portfolio of high-yield bonds primarily issued by Nordic companies. Annual fee 0.35%, 7.7% ongoing yield (after costs). Multiple Morningstar and Lipper Fund Awards.
  • Fondsfinans High Yield Nordic high-yield fixed income fund with moderate to high risk, investing in a broad portfolio of bonds primarily issued by Nordic companies, offering returns between fixed income and equity funds over time. Annual fee 0.45%, 9% annual return over 10 years and 10.4% over 5 years (after costs), 8.4% ongoing yield. Multiple Lipper Fund Awards. Minimum NOK 100,000 for A-class.

Quantifiable outcome

  • Fondsfinans High Yield: 9% annual return over 10 years (after costs), 10.4% over 5 years
  • +3 more outcomes

Companies that use Fondsfinans

Customer profile

Named customers2 records

Segments3 records

Ideal customer profiles3 records

Fondsfinans technology and API

Technology

Technology focussed No

API detail

Has API
No
API docs
API detail

Core technology

AI maturity

App detail

Integration10 records

Feature3 records

Fondsfinans partnerships and signals

Strategic signal

Partnerships

Nine partnerships are on record, tiered core.

  • Glass LewiscoreTechnology or Integration · 1 January 2021Partnership for proxy voting enabling Fondsfinans to vote at shareholder meetings in all portfolio companies. Agreement allows systematic voting at 100% of general meetings. Glass Lewis provides governance research and voting platform.
  • MorningstarcoreTechnology or IntegrationESG data provider for monthly portfolio screening against exclusion criteria. Morningstar provides sustainability data for monitoring controversial events and exclusion compliance across all funds.
  • UN PRI (UN Principles for Responsible Investment)coreStrategic or Co-development PartnerSignatory to UN PRI, committing to six principles for responsible investment. Reports annually on actions related to principles including incorporation of ESG factors in investment analysis and ownership practices.
  • NordnetcoreChannel Partner/ Reseller/ DistributorDistribution partner for retail fund sales in Norway. One of several platforms where investors can access Fondsfinans fund selection.
  • DNBcoreChannel Partner/ Reseller/ DistributorDistribution partner for retail fund sales in Norway.
  • AllfundscoreChannel Partner/ Reseller/ DistributorInstitutional fund distribution platform for larger investors and wealth managers.
  • EuroclearcoreChannel Partner/ Reseller/ DistributorInstitutional settlement and fund distribution services.
  • ClearstreamcoreChannel Partner/ Reseller/ DistributorInstitutional fund distribution and settlement platform.
  • CalastonecoreChannel Partner/ Reseller/ DistributorFund distribution network connecting fund managers with distributors.

Scale indicators3 records

Recent moves10 records

Expansion highlights6 records

Fondsfinans competitors and assessment

Company assessment

Broad incumbents

  • DNB Asset Management: Norway's largest asset manager part of DNB Group, offering extensive fund range distributed through DNB's banking platform. Directly competes with Fondsfinans on DNB's own fund platform and has substantially greater scale and resources.
  • Alfred Berg Asset Management: Nordic asset manager (part of BNP Paribas Group) offering equity, fixed income and balanced funds across the Nordics. Competes with Fondsfinans in Nordic/Norwegian fund categories but operates with broader international parent backing.
  • Storebrand Asset Management: One of Norway's largest asset managers owned by Storebrand Group, offering broad equity, fixed income, and alternative strategies. Overlaps with Fondsfinans offerings but operates at much larger scale and as part of a wider financial services portfolio.
  • KLP Kapitalforvaltning: Norway's largest pension asset manager offering broad active equity and fixed income strategies with significant Nordic focus. Competes indirectly with Fondsfinans in Norwegian equity/credit and serves institutional clients in overlapping geographies.

Direct peers

  • Delphi Fondene: Norwegian asset manager offering actively managed equity, fixed income and balanced funds, distributing through Norwegian fund platforms. Direct competitor in active management space serving Norwegian retail and institutional investors.
  • Skagen Fondene: Norway-based active asset manager owned by Storebrand, offering equity and balanced funds focused on Nordic and global mandates. Directly competes in Norwegian retail distribution platforms and fund categories overlapping with Fondsfinans offerings.
  • Holberg Fondsforvaltning: Independent Norwegian active asset manager offering equity and fixed income funds with similar focus on active management, concentrated portfolios, and the Norwegian retail market. Comparable in size and independent ownership structure to Fondsfinans.
  • ODIN Fund Management: Norwegian active equity and fixed income manager owned by SpareBank 1, distributing through Norwegian platforms with active management philosophy. Competes with Fondsfinans in Norwegian equity and Nordic fund categories.
  • Arctic Asset Management: Norwegian-based asset manager with active equity and fixed income funds distributed through Norwegian platforms, with significant overlap in Nordic equity and credit strategies offered by Fondsfinans.
  • Pareto Asset Management: Norwegian asset management arm of Pareto Group, offering equity and credit funds including Nordic high-yield strategies that directly overlap with Fondsfinans High Yield and Kreditt funds. Competes in same Norwegian retail and institutional channels.

Market position

Strengths4 records

Weaknesses4 records

Competitive moat4 records

Key risks5 records

Key highlights7 records

Customer concentration

Fondsfinans social profiles

Digital presence

Fondsfinans compliance and trust

Trust signal

Compliance1 record

Fondsfinans financial estimates

Financial estimate

Revenue estimate

Valuation estimate

Fondsfinans leadership team

Management profile

Number of profiles

Profiles19 records

Fondsfinans funding detail

Funding detail

Funding overview

Funding rounds

Investors

Funding detail is available on the Subscription and Enterprise plan.Contact sales →

Fondsfinans M&A and investment

M&A and investment

M&A

Investments

M&A and investment is available on the Subscription and Enterprise plan.Contact sales →

Frequently asked questions about Fondsfinans

What does Fondsfinans do?

Fondsfinans Kapitalforvaltning AS is an independent Norwegian asset manager that actively manages a platform of 11 mutual funds spanning equity, fixed income, and balanced categories for retail and institutional investors. The firm combines proprietary top-down and bottom-up valuation models with ESG integration and active ownership (proxy voting via Glass Lewis) to generate risk-adjusted returns, distributing funds through a BankID-authenticated direct portal, Norwegian fund platforms, and international institutional networks.

Is Fondsfinans a public or private company?

Fondsfinans is a private company. It is classified as family owned and is currently operating.

When was Fondsfinans founded?

Fondsfinans was founded in 1950. It employs 11 to 50 people.

Where is Fondsfinans based?

Fondsfinans is headquartered in Oslo, Norway, in the Europe region.

How does Fondsfinans make money?

Two revenue lines are on record. Management Fees are the primary driver. The others are performance Fees.

Who are Fondsfinans's main competitors?

Broad incumbents on record are DNB Asset Management, Alfred Berg Asset Management, Storebrand Asset Management and KLP Kapitalforvaltning. Direct peers are Delphi Fondene, Skagen Fondene, Holberg Fondsforvaltning, ODIN Fund Management, Arctic Asset Management and Pareto Asset Management.

Does Fondsfinans have an API?

No public API is recorded for Fondsfinans.

What industry is Fondsfinans in?

Fondsfinans's product category is Asset Management. Its primary akta.pro industry code is FSAAACAC, Portfolio Management–Led RIAs (Discretionary/Model-Based). Its NAICS code is 525910 and its SIC code is 6282.

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