We own a Nordic portfolio of listed shares, consisting mainly of blue chip companies with strong market positions and long term competitive advantages. Our portfolio consists of 10-20 shares, normally around 15.

We also have a portfolio of Nordic corporate bonds. This portfolio was created in order to benefit from the extremely depressed price levels of corporate high yield bonds during the financial crisis.

In addition, we are involved in a limited number of venture projects.

The company invests on an unleveraged basis. We hold significant amounts of cash at all times.