Welcome to SKAGEN Funds
Specialising in global equity and fixed income funds, SKAGEN Funds has over the past few decades grown to become a leading Scandinavian fund manager.Read about our history
Norwegian-domiciled fund performance
Returns over 12 months are annualised.
|Fund||Last updated||Price||Year to date||Last 12 months||Last 3 years||Last 5 years|
|SKAGEN Global A||17/01/2020||226.35 EUR||31.55 %||12.31 %||9.85 %|
|SKAGEN Kon-Tiki A||17/01/2020||92.87 EUR||12.76 %||4.27 %||3.30 %|
|SKAGEN m2 A||17/01/2020||26.01 EUR||26.63 %||13.42 %||8.74 %|
|SKAGEN Focus A||17/01/2020||13.27 EUR||14.11 %||3.53 %||-|
|SKAGEN Vekst A *||17/01/2020||278.13 EUR||20.69 %||6.35 %||6.20 %|
|SKAGEN Tellus A||17/01/2020||11.68 EUR||7.00 %||2.20 %||1.14 %|
Why choose SKAGEN?
As an active and independent fund manager, we provide only a few carefully selected funds – that we ourselves invest in. We seek overlooked companies from around the world that can provide our clients with excess returns over time. Choose a fund manager who puts quality ahead of quantity.
We believe that investing responsibly is essential to achieve the best possible risk-adjusted returns for our unit holders over time.
Sustainability factors are often a signal of management quality, particularly over the long term. Our portfolio managers thus actively integrate environmental, social and corporate governance issues into the investment process.