ESG - Nordic - Long/Short

Fund Portrait

Norron Select is a long short Nordic equity fund with an absolute return focus. The fund is managed by the investment team under the direction of Marcus Plyhr, who has been a part of the fund management team since 2013.

Volatility should be in the range of 5-15 % and the fund should capture 70% of the stock market returns with 50% of the risk. 

Select has a well-defined portfolio structure consisting of sub strategies with different objectives; yield, exposure, long/short market neutral, corporate bonds and alpha picks. Net exposure can  vary between -30% to + 80%. ESG is integrated into the entire investment process.  This strategy is suitable for medium/long-term investors accepting volatility and looking for above average risk adjusted returns.

 

 

INVESTMENT MANAGER Norron Asset Management
LINKEDIN COMPANY PAGE Norron Asset Management
FUND Norron Select
TYPE STRUCTURE SICAV
DOMICILE Luxembourg
LAUNCH DATE February 1, 2011
DISTRIBUTOR SWITZERLAND OpenFunds Investment Services AG (Switzerland)
AUDITOR EY, Luxembourg
CUSTODIAN Skandinaviska Enskilda Banken SA, Luxembourg
REGULATOR Commission de Surveillance du Secteur Financier, Luxembourg (CSSF)
PAYING AGENT SWISS Società Bancaria Ticinese SA (Switzerland)
GEOGRAPHY Nordics
STRATEGY Equity Long/Short
SHARE CLASSES HIC - EUR
CURRENCY EUR, SEK
INITIAL CHARGES 0%
MINIMUM SUBSCRIPTION EUR 100,000
LIQUIDITY Daily
MANAGEMENT FEE 1.50%
PERFORMANCE FEE up to 20% p.a.
FUND SIZE EUR 55 m
ISIN LU1982816461
BLOOMBERG CODE NORSLRC LX

Webinar: Norron Select and Norron Target Fund (10. November 2022)

Norron - Interaction with nordic companies (25. May 2022)

ESG AWARENESS - Norron Asset Management ZH (24. May 2022)