Group investments
We invest in companies with a clear strategic fit
We invest in companies where we can make a difference, companies with the potential for scaling, and where our employees can add value through significant industry experience.
Fresh capital and long-term investment strategies
Alternative investment firm focused on small/mid-cap companies in the Nordics.
We strongly believe in sustainable business models, fundamental research, active ownership, and a long-term investment horizon. Our mission is the same as at the start; to deliver quality returns with sound risk-taking and to adhere to our core principles; integrity, excellence, and transparency.
ORIGO QUEST is an actively managed equity hedge fund focused on absolute returns. The fund takes both long and short positions with the aim of limiting the fund's dependence on the market's underlying trend and to create competitive risk-adjusted returns.
ORIGO SELEQT is an active and concentrated equity fund focused on Nordic small companies with a market value of less than EUR 2 billion. The managers focus particularly on undiscovered or misunderstood companies with good opportunities to implement a fundamental growth journey.
Sector: Asset management
Country: Sweden
Ownership: 30%
ORIGO QUEST is an actively managed equity hedge fund focused on absolute returns. The fund takes both long and short positions with the aim of limiting the fund's dependence on the market's underlying trend and to create competitive risk-adjusted returns.
ORIGO SELEQT is an active and concentrated equity fund focused on Nordic small companies with a market value of less than EUR 2 billion. The managers focus particularly on undiscovered or misunderstood companies with good opportunities to implement a fundamental growth journey.
Sector: Asset management
Country: Sweden
Ownership: 30%
Leading Nordic impact investment platform focusing on net positive companies.
Norselab currently manages four funds; three venture funds and one credit fund. The ambition is to expand rapidly across classes and investment phases thanks to its pioneering impact approach, first-rate investment teams, and institutional-grade governance rig.
Meaningful Equity I is the largest first-time center fund raised in Norway and is backed by the Norwegian government's investment body, Investinor, multiple family offices, and the who's who of successful Norwegian tech founders.
Meaningful Equity II is Norselab's second growth fund that will invest in companies with potential net positive impact in industries with large negative footprints.
Meaningful Structured Equity I is an impact-focused fund to deliver on the untapped growth potential of low dilution funding in the Nordics.
Meaningful Impact High Yield is Norselab's first actively managed high-yield fund and the first high-yield fund in the Nordics dedicated to impact.
Sector: Venture capital
Country: Norway
Ownership: 10%
Meaningful Equity I is the largest first-time center fund raised in Norway and is backed by the Norwegian government's investment body, Investinor, multiple family offices, and the who's who of successful Norwegian tech founders.
Meaningful Equity II is Norselab's second growth fund that will invest in companies with potential net positive impact in industries with large negative footprints.
Meaningful Structured Equity I is an impact-focused fund to deliver on the untapped growth potential of low dilution funding in the Nordics.
Meaningful Impact High Yield is Norselab's first actively managed high-yield fund and the first high-yield fund in the Nordics dedicated to impact.
Sector: Venture capital
Country: Norway
Ownership: 10%
Leading combination fund with focus in the Nordics.
Anaxo Capital is managed according to a conservative investment strategy with a focus on listed shares in Norway and the Nordic countries, liquid bonds from Norwegian issuers, and direct investments in real estate. The fund's mandate allows for the investment of up to 15% of value-adjusted equity in shares listed outside Norway but within the Nordic region. In addition, up to 15% of NAV can be invested in companies that are listed on a multilateral trading facility in the Nordics (i.e. outside the "main stock exchange", e.g. Euronext Growth in Oslo).
The fund can freely allocate capital between asset classes and has no upper or lower limit for allocation between shares and bonds. The fund's average allocation over the past 12 months has been approx. 70% in shares, 20% in bonds, and 10% in property.
Sector: Asset management
Country: Norway
Ownership: 30%
The fund can freely allocate capital between asset classes and has no upper or lower limit for allocation between shares and bonds. The fund's average allocation over the past 12 months has been approx. 70% in shares, 20% in bonds, and 10% in property.
Sector: Asset management
Country: Norway
Ownership: 30%
Wealth management company.
In all aspects of our management, we seek to avoid unnecessary complexity as this contributes to increased risk and rarely any improved results. With a good understanding of our client’s desires, needs, and risk tolerance we establish a suitable portfolio strategy. This strategy considers (i) relevant asset classes, (ii) asset allocation, (iii) historic investments, (iv) liquidity needs, and (v) complexity.
Successful manager selection and continuous monitoring of these managers are essential to our job. We are fortunate to find many of these managers close to home, but we selectively complement these with managers from abroad with a superior track record based on our extensive network.
Sector: Wealth management
Country: Norway
Ownership: 9%
Successful manager selection and continuous monitoring of these managers are essential to our job. We are fortunate to find many of these managers close to home, but we selectively complement these with managers from abroad with a superior track record based on our extensive network.
Sector: Wealth management
Country: Norway
Ownership: 9%
Get in touch with us
NRP Group
Ragnvald Risan
Managing partner
Mr. Risan is Head of the shipping team, and one of the founders of NRP. Mr. Risan has more than 30 years of experience within shipping, including financing, sales and purchase, banking, syndication, and facilitation of shipping projects. Mr. Risan has facilitated more than 200 shipping and offshore projects. Prior to founding NRP, Mr. Risan worked with Fearnley Finans, in addition to banking.
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NRP Group
Emil S. Harberg
M&A Analyst
Mr. Harberg joined NRP in 2022 and is part of NRP’s shipping and offshore team and NRP Holding. Mr. Harberg has more than 3 years of experience from corporate finance, including sell-side and buy-side advisory, refinancing, and due diligence. Prior to joining NRP, Mr. Harberg worked as a Senior Associate at Deloitte Corporate Finance. Mr. Harberg holds an MSc. in Finance and Strategic Management from Copenhagen Business School (CBS).
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