India
About the fund

Danske Invest India invests in negotiable securities, mainly equities and equity securities which are expected to be listed on different stock exchanges in India. Furthermore, the sub-fund may invest in companies that are traded on stock exchanges outside of India and that have most of their business activities in India.

Aberdeen Asset Management (AAM) is the portfolio manager of Danske Invest India.

The portfolio consists of approx. 30 shares. These equities are selected because they are expected to provide the highest return in the longer run. The investments are selected by the manager who is not limited by a specific benchmark. Thus, the manager operates within a flexible framework that provides a sound basis for obtaining high returns on the Indian market. However, Danske Invest India uses MSCI Emerging Markets India as benchmark.

No individual share may account for more than 10% of the total portfolio.
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About the fund
Fund report
Asset allocation
Historical returns
Annual returns and dividends
Risk profile
Basic information
Downloads
Fact sheet
Prospectus
Simplified prospectus

The documents are in PDF format which can be read with Adobe Acrobat Reader from http://www.adobe.com
Today's figures
NAV-date03-09-2010
NAV34.955 EUR
Change EUR 0.5 %
Return YTD EUR28.6 %