NO

Equinor Kreditt Norge

Mgmt. fee

0.06%

Risk

Morningstar Rating

Morningstar Rating är 1 av 5 stjärnor

Fund facts

Fund type

Fixed income fund

Benchmark index

NORM123D3 NOK

NAV

104.81 NOK (8/20/2025)

Fund assets

6,696 MNOK (7/31/2025)

ISIN

NO0010759913

Start date

12/7/2016

UCITS

Ja

Currency

NOK

Country of origin

Norway

Fund company

Equinor Asset Management AS

Asset managers

Elisabeth A. Gausel, Bjarne Lien Kamsvåg, Rolf Arild Meltveit

Costs

Mgmt. fee

0.06%

Maximum purchase fee

1.00%

Max sales fee

1.00%

Minimum first purchase

1,000 MNOK

Risk (SRI)

Risk

Sustainability risk

-

Sharpe ratio 3 years

0.09

Standard deviation 3y

3.29%

Tracking error 3y

-

Information ratio 3 years

-

Fund type

Interest-bearing instruments

96.56%

Other

3.44%

Largest holdings

NO

Sparebank 1 Boligkreditt AS 4%

6.30%

NO

Sparebank 1 Boligkreditt AS 4.29%

5.76%

NO

DnB Bank ASA 5.55%

4.58%

NO

Nordea Eiendomskreditt AS 4%

4.36%

NO

Oslo Kommune 1.5%

3.32%

Total: 107 holdings

Our approach to responsible investing

We set clear expectations to the companies we invest in. Although we only own a tiny fraction of the companies we invest in, we want to promote long-term value creation and reduce negative effects on the environment and society through voting. We have also chosen to exclude certain companies from our investment universe, either based on products or conduct.

Historical returns are no guarantee of future returns. Future returns will depend, among other things, on market developments, the manager's skill, the fund's risk profile, and management costs. Returns may be negative as a result of capital losses.