Latest report
Presentation of Second Quarter and Half-Year Results 2025
Aker ASA has published its financial results for the second quarter and half-year 2025 on 16 July 2025 at 07:00. An online webcast presentation of the results will be available on our website on the same day at 09:00 CEST.
Significant Value Creation
Since relisting on the Oslo Stock Exchange in 2004, Aker has consistently delivered strong returns to shareholders. Over the past two decades, we have achieved an average annual return of 24%. This is a testament to our disciplined investment strategy, active ownership model and long-term industrial focus. Our objective is to pay annual dividend of 4-6 percent of the year-end NAV.
24 %
Average annual return since relisting 2004
23 bn
Total dividends distributed since 2004
10 %
Targeted annual NAV growth
11 bn
Upstream dividends in 2024
INVESTMENT CASE
Reasons to invest
As an active and proud shareholder in companies with attractive value and dividend potential, Aker’s ownership agenda is to contribute to a positive return for all shareholders.

Proven Track Record
With nearly two decades of strong performance since its relisting in 2004—and roots dating back to 1841—Aker has demonstrated its ability to create long-term value. Our consistent returns, disciplined investment strategy and industrial expertise reflect a track record of resilience and results.

Proud and Active Ownership
Active ownership lies at the heart of Aker’s model. We work closely with our portfolio companies to drive strategic development, operational excellence and long-term value creation. This hands-on approach defines our culture and strengthens our impact—both for shareholders and society.

Commitment to Deliver Value
Aker is committed to delivering attractive returns through a focused portfolio, strong capital discipline and a clear dividend policy. We aim to grow Net Asset Value by at least 10% annually, while distributing 4–6% of NAV in dividends—ensuring that value creation and value sharing go hand in hand.

Industrial Legacy Since 1841
Aker’s legacy spans more than 180 years of industrial innovation and development. From shipbuilding to energy, and now to technology and green solutions, our history serves as a foundation for forward-looking growth. We combine deep-rooted expertise with a future-oriented mindset.

High-Quality Portfolio
Our portfolio includes leading companies across the energy, marine, industrial software and green technologies sectors. Each investment is carefully selected and actively managed to ensure strategic alignment, financial strength, and long-term potential.
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year in review
Annual Report 2024
Aker is navigating a new era of fragmentation, uncertainty and changing market dynamics. We are capitalizing on our core strengths: forging enduring partnerships with global leaders, leveraging transactional capabilities, and utilizing our financial strength and flexibility to seize emerging opportunities.
58.2 bn
NAV, after dividend paid
783
NAV per share
65.4 bn
GAV
549
Share price
