Back to portfolio
Scheduled refresh · National
Ultra Smart 1 - Norge
Scheduled refresh | Oct 1, 2026
Historical run
You are viewing a dated model snapshot
This page shows the model portfolio state as of Oct 1, 2026. Use newer or older runs to move through time, or return to the live model portfolio.
Jump to run date
PLT.OL remains held by the model but has the clearest risk flag right now.
WWIB.OL is first in line if the model opens a new slot.
The model is ahead of ^OSEAX by 23.25%.
Allocation view
Sector split
Exchange split
Concentration
16.2%
47.8%
76.4%
Run comparison
Previous run: Sep 30, 2026
0
0
7
0
Reserve candidates
Top reserve names if capital opens up or a holding drops out.
WWIB.OL
Wilh Wilhelmsen Holding ASA | OSL
Long-term score rank | Factor aligned
HAFNIO.OL
Hafnia Limited | OSL
Long-term score rank | Factor aligned | Quality grade support
HAFNI.OL
Hafnia Limited | OSL
Long-term score rank | Factor aligned
MPCC.OL
MPC Container Ships ASA | OSL
Long-term score rank | Factor aligned
HAUTO.OL
Hoegh Autoliners ASA | OSL
Long-term score rank | Factor aligned | Dividend support
SNI.OL
StoltNielsen Limited | OSL
Long-term score rank | Factor aligned
Holdings with risk flags
Still held by the model, but with a weakening backdrop or negative short-term pressure.
PLT.OL
poLight ASA | OSL
Sector backdrop weak
Selection score softer
ATEA.OL
Atea ASA | OSL
Sector backdrop weak
Selection score softer
HUNT.OL
Hunter Group ASA | OSL
Sector weakening
Selection score softer
B2I.OL
B2 Impact ASA | OSL
Sector weakening
Selection score softer
WWI.OL
Wilh Wilhelmsen Holding ASA | OSL
Selection score softer
FRO.OL
Frontline Plc | OSL
Selection score softer
Build context
Regime: OSL
Market score: 49.4
Candidate pool: 56
Sector inputs: 11
Factor inputs: 10
Score model: Long-term score
Rebalance reasons
Sector snapshot inputs were active | Factor snapshot inputs were active
0
0
7
0
Selection drivers
Current drivers: Long-term score rank (7) | Quality grade support (5) | Dividend support (4) | Sector weakening (2) | Sector backdrop weak (2)
Top factors: US10Y (2) | COPPER (2) | SPX (1) | NASDAQ (1) | BRENT (1)
Current holdings
2
16.2%
Industrials
0.00
| Ticker | Target weight | Entry date | Entry price | Shares | Latest price | Position value | Today | Change | Selection note |
|---|---|---|---|---|---|---|---|---|---|
|
Atea ASA | OSL
Held · risk flag
|
12.17% | Aug 11, 2026 | 173.40 | 97.0000 | 165.00 | 16,005.00 | 0.00% | Kept | Prev weight: 12.17% | Long-term score rank | Sector backdrop weak | Factor aligned |
|
poLight ASA | OSL
Held · risk flag
|
15.55% | Aug 11, 2026 | 12.88 | 1,674.0000 | 15.40 | 25,779.60 | 0.00% | Kept | Prev weight: 15.55% | Long-term score rank | Sector backdrop weak | Factor aligned |