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Historical returns are no guarantee for future returns. Future returns will depend, inter alia, on market developments, the fund manager’s skills, the fund’s risk profile and management fees. The return may become negative as a result of negative price developments. There is risk associated with investing in funds due to market movements, currency developments, interest rate levels, economic, sector and company-specific conditions. The funds are denominated in NOK. Returns may increase or decrease as a result of currency fluctuations. Prior to making a subscription, we encourage you to read the fund's prospectus and key investor information document. 

Our funds

SKAGEN offers a select number of funds which invest in companies from around the world. All investments are selected in accordance with SKAGEN's investment philosophy and process.

Norwegian-domiciled performance

Performance beyond 12 months is annualised, net of fees.

Fund Price Last updated Year to date Last 12 months Last 3 years Last 5 years
SKAGEN Global A 337.50 EUR
(11/09/2025)
11/09/2025 6.33 % 6.43 % 9.59 %
SKAGEN Global II 1,163,288.07 EUR
(11/09/2025)
11/09/2025 6.75 % 7.02 % 10.28 %
SKAGEN Kon-Tiki A 121.24 EUR
(11/09/2025)
11/09/2025 22.43 % 10.09 % 8.12 %
SKAGEN m2 A 23.60 EUR
(11/09/2025)
11/09/2025 -3.87 % -2.36 % 2.76 %
SKAGEN Focus A 21.08 EUR
(11/09/2025)
11/09/2025 14.05 % 8.90 % 11.56 %
SKAGEN Vekst A * 465.95 EUR
(11/09/2025)
11/09/2025 10.03 % 10.62 % 14.14 %

Price

337.50 EUR (11/09/2025)

Last updated

11/09/2025

Year to date

-0.60 %

Last 12 months

6.33 %

Last 3 years

6.43 %

Last 5 years

9.59 %

Price

1,163,288.07 EUR (11/09/2025)

Last updated

11/09/2025

Year to date

-0.32 %

Last 12 months

6.75 %

Last 3 years

7.02 %

Last 5 years

10.28 %

Price

121.24 EUR (11/09/2025)

Last updated

11/09/2025

Year to date

17.64 %

Last 12 months

22.43 %

Last 3 years

10.09 %

Last 5 years

8.12 %

Price

23.60 EUR (11/09/2025)

Last updated

11/09/2025

Year to date

2.39 %

Last 12 months

-3.87 %

Last 3 years

-2.36 %

Last 5 years

2.76 %

Price

21.08 EUR (11/09/2025)

Last updated

11/09/2025

Year to date

6.59 %

Last 12 months

14.05 %

Last 3 years

8.90 %

Last 5 years

11.56 %

Price

465.95 EUR (11/09/2025)

Last updated

11/09/2025

Year to date

8.18 %

Last 12 months

10.03 %

Last 3 years

10.62 %

Last 5 years

14.14 %

*Investment mandate changed on 1.1.2014. Read more on the fund page.

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