Danske Invest

Institutional Liquidity Fund G

Morningstar Rating : - Funds promoting environmental or social characteristics - ISIN: FI0008803184
Documents
Factsheet
Key Information Document (PRIIPs)
Price list
Fund regulations
Investor notification
Prospectus
Sustainability-related disclosure
Investor rights

33.10531

NAV as of 22.11.2024

+0.07%

Return 1 day

+0.38%

Return 1 month

+4.22%

Return (year-to-date)

Objectives and investment policy

Objectives

The target of investment activities is to achieve better-than-money-market value increase on the invested assets through active asset management pursuant to the Act on Common Funds and the fund's regulations.

Investment policy

The assets are invested in a diversified manner in short-term euro-denominated fixed income instruments (e.g. floating-rate and fixed-rate bonds, commercial paper or other fixed income products). These may be issued by banks, companies and governments, municipalities and other public organisations. The fund's modified duration, or interest rate risk, may be a maximum of 1. The credit rating of securities and money market instruments issued by a non-Nordic issuers or issuers not listed in Finland must be at least Moody´s Baa3, S&P BBB- or Fitch BBB-. The fund is categorised as article 8 under SFDR and promotes environmental and/or social characteristics, as well as good governance practices, through screening, exclusions, investment analysis and decision-making as well as active ownership. The fund follows Danske Invest's responsible investment policy. The returns on the fund's investments, such as dividends and interest, will be reinvested. The fund's base currency is the euro.

It is generally expected that the fund's holdings may differ significantly from those of the benchmark, e.g. in relation to issuer, credit quality, countries and duration. The fund¿s performance may therefore differ from the benchmark. The fund's risk level is low under normal circumstances. However, the fund's value may also fall. Investors may subscribe for and redeem fund units on every banking day.


Recommendation: This fund may not be appropriate for investors who plan to withdraw their money within 1 years.

Funds promoting environmental or social characteristics (Article 8)
This type of fund promotes environmental (E) or social (S) conditions and ensures good governance practices (G). Depending on the fund's investment strategy, this may be done through screening, exclusion, inclusion and active ownership. The funds may partially invest in sustainable investments, but making sustainable investments is not their goal.
Funds that promote environmental or social characteristics are subject to the disclosure requirements set out in Article 8 of the EU's regulation on sustainability-related disclosures in the financial services sector.

Return

Institutional Liquidity Fund G
Benchmark
Return
Monthly return
Annual return
Return (12 M rolling)
Monthly excess return compared to benchmark
1 year
3 years
5 years
10 years
Since launch

to
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Past performance is not a reliable indicator of future results. Future returns may be negative. The return may increase and decrease as a result of currency fluctuations if the fund is issued in a currency other than the currency used in the country in which you are domiciled.

Risk indicator

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Higher risk

Typically lower return

Typically higher return

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The summary risk indicator is a guide to the level of risk of this product compared to other products. It shows how likely it is that the product will lose money because of movements in the markets or because we are not able to pay you.

This classification may change and may not reliably indicate the future risk profile of the fund. The lowest category does not mean risk free.

This product does not include any protection from future market performance so you could lose some or all of your investment.
 

Value of
Click to change the amount

0 years
years
10 years
years

of which n/a € in dividends.
Total charges during the period:
n/a €.

Past performance is not a reliable indicator of future results. Future returns may be negative. The return may increase and decrease as a result of currency fluctuations if the fund is issued in a currency other than the currency used in the country in which you are domiciled.
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Value of EUR 100

PeriodeVærdi
1 year runningEUR 105.36
3 years runningEUR 108.31
5 years runningEUR 108.90
7 years runningEUR 109.06
10 years runningEUR 111.19
Past performance is not a reliable indicator of future results. Future returns may be negative. The return may increase and decrease as a result of currency fluctuations if the fund is issued in a currency other than the currency used in the country in which you are domiciled.
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Manager

Riitta Louhento

Title: Senior Portfolio Manager
Background: BBA
Years of experience: 38

Danske Bank Asset Management is an international asset manager and part of the Danske Bank Group.

Danske Bank Asset Management is Danske Invest’s main investment manager. Danske Bank Asset Management focuses its resources on selected core investment areas. These areas are Nordic equities, European equities, global equities, Nordic fixed income, European corporate bonds, global inflation-linked bonds, emerging markets debt as well as index based investments. Danske Bank Asset Management also manages hedge fund strategies within both equities and fixed income.

Asset allocation as of 30.09.2024

The allocation is based on the portfolio's bond holdings.
Please note that all holdings are delayed with 1 month.
Institutional Liquidity Fund G

Holdings as of 30.09.2024

Name of investment/security Weight Type Currency Country ISIN code
NORDEA BANK ABP 10.02.2026 000000000000001.761.76% Bonds EUR Finland XS2584643113
DNB Bank ASA 22/26 ADJ C 000000000000001.721.72% Bonds EUR Norway XS2486092492
OP CORPORATE BANK PLC 09.06.2030 000000000000001.701.70% Bonds EUR Finland XS2185867673
KBC GROUP NV 06.06.2026 000000000000001.641.64% Bonds EUR Belgium BE0002950310
DANSKE BANK A/S FRN 10.04.2027 000000000000001.591.59% Bonds EUR Denmark XS2798276270
SWEDBANK AB 30.05.2026 000000000000001.551.55% Bonds EUR Sweden XS2629047254
SBAB BANK AB 26.06.2026 000000000000001.521.52% Bonds EUR Sweden XS2641720987
TEOLLISUUDEN VOIMA OYJ 1.125% 09.03.2026 000000000000001.471.47% Bonds EUR Finland XS2049419398
SVENSKA HANDELSBANKEN AB FRN 08.03.2027 000000000000001.321.32% Bonds EUR Sweden XS2782828649
BANCO SANTANDER SA 18.10.2027 000000000000001.311.31% Bonds EUR Spain XS2705604077
Please note that all holdings are delayed with 1 month.

Charges

The charges you pay are used to cover the costs of running the fund, including marketing costs and distribution. These charges reduce the potential growth of your investment.

Charges taken from the fund over a year

One-off charges taken before or after you invest

Other charges *)

*) Other charges are charges which entirely or partially are included in the ongoing charges and/or one-off charges.
Institutional Liquidity Fund G

Facts about the fund

  • Basic information

    Basic information

    ISIN code FI0008803184
    Listed on stock exchange No
    Sub-fund of Danske Invest
    Fund domicile Finland
    Dividends No
    Management company Danske Invest Fund Management Ltd
    Man. company domicile Finland
    Depositary Skandinaviska Enskilda Banken AB (publ) Helsinki branch
    Minimum initial investment 100 000 EUR
    Currency EUR
    Price method Single Price
    Legal type UCITS
    Launch date 10.06.1996
    Bloomberg ticker SAMYKOK FH
    Marketing permission Finland
    Class of Danske Invest Yhteisökorko
    Other classes Institutional Liquidity Fund D
    Institutional Liquidity Fund W D
    Institutional Liquidity Fund W G
    Samfundsränta A
    Samfundsränta W A
    Samfundsränta W T
    Yhteisökorko T
    Yhteisökorko W K
    Yhteisökorko W T
  • Profile

    Profile

    Profile Actively managed
    Type Short Bonds
    Investment area Europe
    Benchmark 3 month Euribor Index
    Recommended investment horizon 1 years
  • Today's figures

    Today's figures

    Total assets, mill. EUR as of 22.11.2024 1,929.52
    Shareclass total assets, mill. EUR as of 22.11.2024 703.45
    Net asset value (NAV) EUR as of 22.11.2024 33.10531
    Duration as of 31.10.2024 0.83
    Yield to maturity as of 31.10.2024 3.26
  • Risk key figures as of 31.10.2024

    Risk key figures as of 31.10.2024

      1 year 3 years 5 years 7 years 10 years
    Avg. annual return (%) 5.36 2.70 1.72 1.25 1.07
    Sharpe Ratio 0.54 0.48 0.55 0.79
    Volatility 0.92 1.20 1.04 0.88
    Tracking Error 0.56 0.99 0.84 0.72
    Information Ratio 1.23 0.72 0.74 0.94
    Calculation is based on end-of-month data.
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