Dyvi invests a substantial share of its capital base outside the maritime sector. This is intended to provide risk-adjusted returns and portfolio diversification, and to develop a reputable investment business solidly founded on abilities and networks.
Investment philosophy
Dyvi believes that active ownership creates dialogue and information-sharing, deepens business understanding and improves the quality of decisions. It thereby enhances strategic decisions on direction, speed and timing.
Hence, Dyvi’s investment philosophy is to develop the best environment for value creation and risk management through active participation in the strategic and operational development of its portfolio.
Investment strategy
Dyvi’s investment strategy is to capitalise on the assets and capabilities of the organisation and its key people. These include:
• entrepreneurship and business experience
• networks in the Norwegian finance, investment and ICT sectors |
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