| Fund name | Swedish Bond Fund |
|---|---|
| Unit price in base currency | 259.04 |
| Day variantion in % | -0.15 |
| Year to date variation in % | -1.38 |
| Annual variation in % | +11.88 |
| Fund manager | Nordea Investment Management AB; Sweden |
| ISIN code | LU0173781047 (EUR) LU0064320186 (SEK) |
| Launch date | 1995-08-04 |
| Base currency | SEK |
| Minimum investment | 50 EUR |
*) In comparison to previous price
**) Year to date performance
Past performance is no indication of current or future performance.