Aktiv Förmögenhetsförvaltning
About the fund

Danske Invest Aktiv Förmögenhetsförvaltning invests in Swedish and other equities, equity-related instruments and certificates of deposit listed on the Stockholm Stock Exchange or another recognised Swedish marketplace as well as in Swedish bonds and other financial instruments issued by the Swedish government or mortgage credit institutions.

The sub-fund's investments may be allocated in various asset types in the following percentage ranges:

Equities 30%-70%
Bonds 30%-70%

As from January 2008, the sub-fund’s benchmark is 50% SIXPRX and 50% OMRX T-Bond.
Go to
About the fund
Fund report
Asset allocation
Historical returns
Annual returns and dividends
Risk profile
Basic information
Downloads
Fact sheet
Brochure

The documents are in PDF format which can be read with Adobe Acrobat Reader from http://www.adobe.com
Today's figures
NAV-date02-09-2010
NAV214.14 EUR
Change EUR 0.9 %
Return YTD EUR19.3 %