Decisive in the face of market fluctuations and macroeconomic
Cognia Capital manages the group’s capital reserves and contributes to maintaining a financially robust conglomerate. The portfolio consists of liquid financial investments with moderate risk, as well as long-term
financial placements with a somewhat higher risk profile.
Cognia Capital works to financially position the companies within the conglomerate to seize opportunities as they arise. The company also works to attract new businesses that can complement and strengthen existing operations or constitute new growth platforms for the conglomerate.
Main office: Sandefjord
Contact: Nils Fredriksen
Cognia Capital is one of the conglomerate’s platforms for attracting new businesses within a broad investment universe.
Cognia Group’s financial strategy aims to ensure a financially robust conglomerate, enabling us to act decisively amidst market fluctuations and macroeconomic conditions.
Through Cognia Capital, a portion of the conglomerate’s capital reserves is managed in a portfolio consisting of liquid financial investments with moderate risk and long-term financial placements with a somewhat higher risk profile.
The liquid portfolio is invested in funds and financial instruments managed by external fund managers.
Cognia seeks to develop existing industrial businesses through ongoing investment in new locations, new skills, and operational assets. There are also targeted acquisitions of complementary businesses.
nvestment. In this way, the businesses have a strong financial position, enabling them to seize both
small and large opportunities as they arise.
In addition to developing existing businesses, the conglomerate is engaged in diversifying growth initiatives.
Cognia Capital is one of the conglomerate’s platforms for attracting new businesses within a broad investment universe, contributing to long-term growth and diversification.