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The content on this page is marketing communication

Storebrand Sustainability Rating

The Storebrand Group's sustainability rating assigns scores to the companies in our funds on the basis of risks and opportunities linked to environmental, social and corporate governance (ESG) factors. For clients and other stakeholders, it provides an overall picture of sustainability elements in our funds.

The scale ranges from 1 to 10. A rating of 10 means that a fund has a low sustainability risk and a high proportion of companies that contribute to the Global Goals for Sustainable Development. Note that companies with operations in developed markets such as Europe and the USA often have a higher sustainability rating than those in emerging markets. The sustainability rating is relevant for all asset classes.

The sustainability rating should not be seen as a recommendation to buy, hold or sell fund units or to make investment decisions. We reserve the right to make any errors in information.

Global Goals logo

The rating is made up of two elements: 50% ESG risk and 50% opportunities linked to the Global Goals. The risk component is based on data from Sustainalytics' ESG Risk Rating, which measures companies' exposure to and management of financially relevant sustainability risk. For the remaining 50%, ESG data sources are analysed to find companies with products and services that make a positive contribution to meeting financially relevant sustainability goals linked to the Global Goals. Storebrand carries out an internal company analysis, using data from FTSE Russell Green Revenue. For Global Goals, gender equality in companies is also taken into account.

In addition to Storebrand's own analysis, we also use data from these carefully selected, high-quality data providers:

  • ESG Risk Score: Sustainalytics ESG Risk Rating (50%)
  • SDG Score - Products & Services: FTSE Russell Green Revenue and Internal Analysis (40%)
  • SDG Score - Business: Equileap Gender Equality Data (10%)

Les rendements historiques ne garantissent pas les rendements futurs. Les rendements futurs dépendront, entre autres, de l'évolution du marché, des compétences du gestionnaire du fonds, du profil de risque du fonds et des frais de gestion. Le rendement peut devenir négatif en raison de l'évolution négative des prix. Il existe un risque lié à l'investissement dans des fonds en raison des mouvements du marché, de l'évolution des devises, des niveaux de taux d'intérêt, des conditions économiques, sectorielles et spécifiques aux entreprises. Les fonds sont libellés en NOK. Les rendements peuvent augmenter ou diminuer en raison des fluctuations monétaires. Avant d'effectuer une souscription, nous vous encourageons à lire le prospectus et le document d'informations clés pour l'investisseur du fonds. Vous trouverez un aperçu des coûts sur le site