Storebrand Global Multifactor N

Equity fund

1 year

Globe

USA

Largest region

Medium

Risk

Annual costs

Morningstar

 

Partial 

Sustainability

Development

Last 5 years
( ann.)

Details

  • Storebrand Global Multifactor har som mål å oppnå langsiktig meravkastning ved å investere i globale, velutviklede aksjemarkeder. Fondet er et modellbasert faktorfond, som søker å utnytte veldokumenterte risikopremier knyttet til faktorene; verdi, størrelse, momentum og lav volatilitet. Porteføljen er sektor- og regionsnøytral, likevektet på faktornivå, og vil normalt bestå av 300-400 store og mellomstore aksjeselskaper. Fondet forvaltes i tråd med Storebrands prinsipper for bærekraftige investeringer. Fondet har UCITS-status, og referanseindeksen er MSCI World NTR.

Investment horizon

  • Storebrand Global Multifactor N is a Equity fund. This mutual fund type is suitable for those who plan to save for at least 6 years.

Characteristics

  • Minimum amount
  • Sharpe 3 years
  • NAV/Price

    17 Dec 2025

  • Margin rate
  • Start date
    09 Jul 2018
  • ISIN
    NO0010817505

Risk

  • Medium (4 of 7)

Morningstar rating

  • The Morningstar Rating is an objective standard that tells us how well a fund has done compared to similar funds. If a fund performs better than other funds it is compared with, it receives a high rating. Correspondingly, a fund receives a low rating if it performs worse than similar funds.

Sustainability

Annual cost

  • Ongoing costs

    Includes management fees of 0,60 %

  • Platform fee
  • Kickback fee
  • Annual running costs

Other costs

  • Performance-based fee
  • Transaction costs
  • Costs for any currency exchanges are not included.

Allocation

  • Stocks 100%
    Interest 0%

Portfolio

Shows the fund's largest investments.

  • NVIDIA Corp
    4.3%
  • Apple Inc
    4.0%
  • Microsoft Corp
    3.2%
  • Amazon.com Inc
    1.7%
  • Alphabet Inc Class A
    1.6%
  • SPX Technologies Inc
    1.5%
  • Cencora Inc
    1.4%
  • Societe Generale SA
    1.4%
  • Alphabet Inc Class C
    1.3%
  • Flex Ltd
    1.3%