The Group's surplus liquidity is managed with the objective of achieving the highest possible risk-adjusted return. Capital is primarily invested in well-established, publicly listed industrial and financial companies on the Oslo Stock Exchange, generating returns through both dividend income and capital appreciation.
In addition, Wenaasgruppen invests in high-yield bonds and investment fund bonds with attractive terms issued by Nordic banks and industrial companies.
Wenaasgruppen has a clear strategy of maintaining a high level of liquidity through substantial bank deposits and focuses on securing the best possible interest rates.