Nordic Multi Strategy
A Nordic multi-strategy fund that aims for steady returns with low correlation to equity and bond markets.
Nordic Multi Strategy
Nordic Multi Strategy is a Nordic multi-strategy fund with an absolute return objective. Over time, it aims to deliver a steady return of 5% with low volatility and low correlation to Nordic equity and bond markets. Returns may, however, differ from this target in the short term. The fund is managed by the entire investment team, who work together continuously to combine different strategies.
Nordic Multi Strategy is a light green fund under Article 8 of the EU Sustainable Finance Disclosure Regulation (SFDR). This means that the Sub-Fund promotes environmental and/or social characteristics but does not have sustainable investment as its objective. At least 40% of the Sub-Fund’s investments will promote environmental and/or social characteristics. Also, at least 10% will be sustainable investments with an environmental or social objective respectively. The objective of the sustainable investments is to contribute to the achievement of the 17 Sustainable Development Goals and the 2030 Agenda.
Fund facts
- 2011-02-01
- 1,40 %
Risk information
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01234567
- Medium (3)
- 7,06 %
- -0,29