Pension Fund

Sjunde AP-fonden

Investment Details

Investor Type
Pension Fund

Asset Class Focus
Fixed Income (Debt and Bonds), Private Equity, Real Estate, Infrastructure, Hedge Funds, Commodities, Crypto, Distressed and Special Situations, ESG and Impact Investing, Venture Capital

Stage Focus
Pre-Seed, Seed, Early Stage, Series A, Series B, Growth, Late Stage, Pre-IPO, Buyout, Turnaround, Distressed

Geographical Focus
United States, United Kingdom, Canada, Germany, Japan, Australia, China, India, Brazil, France, Italy, Denmark, Switzerland, Spain, South Korea, Netherlands, Sweden, Norway, Finland

Industries Focus

  • Financial Services
  • Technology
  • Healthcare
  • Energy
  • Consumer Goods
  • Industrials
  • Real Estate
  • Materials
  • Telecommunications
  • Utilities
  • Consumer Services
  • Basic Materials
  • Consumer Non-Durables
  • Consumer Durables
  • Capital Goods

Investment Size:
1,000,000 to 1,000,000,000 USD

Investor Details Founded: 2000

Sjunde AP-fonden, also known as AP7, is a Swedish government agency responsible for managing premium pension funds for the Swedish population. Established in 2000, it is the only state actor in the premium pension system, providing the AP7 Såfa fund portfolio. This portfolio serves as the default option for premium pension savers, meaning that investors are automatically assigned to AP7 Såfa unless they choose otherwise.

The fund's mission is to responsibly manage these funds, aiming to generate a long-term annual return at least 2 percentage points higher than that of the income pension. Since its inception, AP7 Såfa has provided Swedish pension savers with higher average returns than the return goal and has maintained low management fees within the premium pension system.

The fund's assets are diversified across various asset classes, including fixed income, private equity, real estate, infrastructure, hedge funds, commodities, crypto, distressed and special situations, ESG and impact investing, and venture capital. Geographically, AP7 invests in a wide range of countries, including Sweden, the United States, the United Kingdom, Germany, France, Japan, China, India, Canada, Australia, Brazil, South Korea, Italy, Spain, the Netherlands, Switzerland, Denmark, Norway, and Finland.

The fund's investment strategy encompasses multiple stages, from pre-seed to distressed investments, reflecting its comprehensive approach to managing pension assets. AP7's portfolio spans various industries, such as technology, healthcare, financial services, consumer goods, energy, telecommunications, utilities, materials, real estate, industrials, consumer services, basic materials, consumer non-durables, consumer durables, and capital goods.

Requirements
  • Long-term investment horizon
  • Diversified portfolio across multiple asset classes
  • Focus on responsible and sustainable investments
  • Adherence to Swedish pension system regulations
  • Alignment with AP7's investment strategy and objectives
  • Compliance with applicable laws and regulations in investment jurisdictions
  • Consideration of environmental, social, and governance (ESG) factors in investment decisions
  • Ability to invest across various stages, from pre-seed to distressed investments
  • Capacity to invest in a wide range of industries
  • Commitment to low management fees for pension savers
Contact

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Portfolio Companies
  • Alphabet Inc.
  • Northvolt
  • Spotify Technology S.A.
  • H&M Group
  • Ericsson
  • Volvo Group
  • Atlas Copco
  • Investor AB
  • Nordea Bank Abp
  • Telia Company AB
  • Skanska AB
  • Electrolux AB
  • Swedish Match AB
  • Securitas AB
  • Assa Abloy AB
  • Sandvik AB
  • ABB Ltd.
  • Klarna
  • Vattenfall AB
  • Scania AB
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