What We Do

Fearnley Asset Management is an investment management company, managing alternative investment funds. The company is the newest business unit within the Astrup Fearnley group and is based in Oslo, Norway. Fearnley Asset Management focuses on two different investment strategies: long/short equities within the energy and shipping space and Nordic high yield bonds. Both our funds are registered as QIAIFs (Qualifying Investor Alternative Investment Fund) in Ireland and can only be marketed to Qualifying investors.

Fearnley Credit Fund

The fund focuses on investing in a portfolio of high yield bonds with a link to the Nordic market. The target of the fund is to deliver consistent return through investing in performing credits. The portfolio will consist of below investment grade rated/unrated bonds and the Portfolio Manager focuses on bottom-up and company analysis when building a concentrated portfolio of creditworthy positions. Risk control is a continuous focus and is identified through analysing the market, the business model and capital structure of the bond issuer. The Portfolio Manager has the possibility to be flexible and opportunistic in the pursuit of investment ideas, taking advantage of long market experience and knowledge.