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V

VERDIPAPIRFONDET DNB SMB981 705 637

Financial fund
Unit trusts
Dronning Eufemias gate 30 0191 OSLO, Norge

VERDIPAPIRFONDET DNB SMB

Keywords

fundsecurities fund legislation

Links

Organization

Years since formation
24 years
since Apr 7, 2000
Type
Unit trusts
VAT registered
No
Number of employees
0
Last update: Aug 29, 2024

Management

Board

NameRoleShares
D
DNB ASSET MANAGEMENT AS
Business Manager-
Contact Person-

Others

NameRoleShares
E
ERNST & YOUNG AS
Auditor-
Last update: Apr 13, 2023

Ownership

Shares owned by the VERDIPAPIRFONDET DNB SMB

NameShare classNumber of sharesShare
Z
ZALARIS ASA
NO0010708910
1,221,606
5.52 %
E
ELLIPTIC LABORATORIES ASA
NO0010722283
5,683,364
5.42 %
Z
ZAPTEC ASA
NO0010713936
3,439,486
3.93 %
NO0010894231
8,120,695
2.73 %
S
SPIR GROUP ASA
NO0012548819
3,344,610
2.57 %
G
GENTIAN DIAGNOSTICS ASA
NO0010748866
361,291
2.34 %
E
ELMERA GROUP ASA
NO0010815673
2,600,076
2.27 %
A
ANDFJORD SALMON GROUP AS
NO0010829765
1,288,812
2.26 %
S
SALMON EVOLUTION ASA
NO0010892094
9,302,408
2.25 %
T
TECHSTEP ASA
NO0012916131
662,894
2.1 %
A
AMSC ASA
NO0010272065
1,509,776
2.1 %
P
PEXIP HOLDING ASA
NO0010840507
2,177,220
2.08 %
E
ENDÚR ASA
NO0012555459
717,601
1.95 %
P
PROSAFE SE
NO0010861990
278,891
1.56 %
K
KITRON ASA
NO0003079709
2,804,943
1.42 %
G
GRAM CAR CARRIERS AS
NO0011109563
411,044
1.4 %
P
PGS ASA
NO0010199151
13,010,105
1.36 %
D
DOLPHIN DRILLING AS
NO0012595950
2,851,611
1.3 %
C
CRAYON GROUP HOLDING ASA
NO0010808892
1,132,186
1.26 %
K
KID ASA
NO0010743545
398,740
0.98 %
M
MAGNORA ASA
NO0010187032
561,827
0.84 %
V
VOLUE AS
NO0010894603
1,165,992
0.81 %
I
ICELANDIC SALMON AS
NO0010724701
241,798
0.78 %
H
HOFSETH BIOCARE ASA
NO0010598683
2,372,594
0.6 %
D
DOF GROUP ASA
NO0012851874
1,002,248
0.57 %
P
PANORO ENERGY ASA
NO0010564701
623,279
0.53 %
S
STRONGPOINT ASA
NO0010098247
224,995
0.5 %
K
KALDVIK AS
NO0010884794
547,083
0.45 %
A
ABL GROUP ASA
NO0010715394
503,354
0.41 %
M
MULTICONSULT ASA
NO0010734338
102,884
0.37 %
E
EDDA WIND ASA
NO0010998529
386,822
0.34 %
M
MEDISTIM ASA
NO0010159684
57,075
0.31 %
O
OKEA ASA
NO0010816895
280,489
0.27 %
A
AKASTOR ASA
NO0010215684
705,566
0.26 %
B
BELSHIPS ASA
NO0003094104
511,476
0.2 %
A
AKER BIOMARINE ASA
NO0010886625
170,000
0.19 %
C
CLOUDBERRY CLEAN ENERGY ASA
NO0010876642
434,464
0.15 %
A
AKER CARBON CAPTURE ASA
NO0010890304
916,155
0.15 %
A-shares
254
0.09 %
R
REC SILICON ASA
NO0010112675
337,479
0.08 %
N
NYKODE THERAPEUTICS ASA
NO0010714785
123,417
0.04 %
Last update: May 24, 2024

Financials

in NOK

No available data

Classification

Type of organization
Unit trusts
Standard industrial classification
K
Main industrial area
Financial and insurance activities
64
Activity
Financial service activities, except insurance and pension funding
64.3
Main industrial group
Trusts, funds and similar financial entities
64.30
Industrial group
Trusts, funds and similar financial entities
64.301
Industrial group
Unit trust