Eign – Erlend

Global diversification with long-term growth potential.

Eign - Foreign invests entirely in foreign-currency assets, with approximately 60% in equities and 40% in bonds. As with other investment options that include a significant allocation to equities, returns may fluctuate over time. Currency movements can also affect performance. While this increases short-term volatility, the option offers attractive long-term growth potential through global diversification.

Best suited for: Individuals with a long investment horizon who want broad international exposure and are comfortable with fluctuations in value.

Eign – Erlend is a new investment option from Gildi. As a result, historical performance data is not yet available.

Investment Policy

A detailed Investment Policy is prepared for Eign – Erlend each year. As part of this process, Gildi’s investment specialists assess market opportunities and risks across different asset classes.

Gildi’s portfolio managers continuously buy and sell equities and bonds to achieve the best possible long-term returns for fund members. The framework for these investment decisions is set out in the Investment Policy below, which also shows the portfolio allocation at the end of 2025.

Asset class Policy Permitted range – minimum Permitted range – maximum
Bonds 40.0% 20.0% 50.0%
- Cash and deposits 1.0% 0.0% 15.0%
- Foreign bonds 39.0% 20.0% 50.0%
Equities 60.0% 50.0% 70.0%
- Foreign equities 60.0% 50.0% 70.0%


Key Information:

The following document contains key information about Eign – Erlend, an investment option offered by Gildi Pension Fund. This information is required by law and is intended to help you understand the nature, risks, costs, and potential gains and losses of the investment option, and to compare it with other similar financial products.