investment_programs.slider.risk.current
Low risk
Lower expected income
High risk
Higher expected income

he objective is to preserve capital and ensure a reasonable rate of return by investing in moderately valued common stocks with stable growth in returns and price development.

The primary focus is on companies demonstrating steady growth in revenue, dividends, and cash flows. At least three-quarters of the managed assets (excluding cash) are invested in equities of companies worldwide.

For more information, visit the fund manager's website HERE.

Investment object

Fund Nordea 1 - Global Stable Equity EUR Hedged BI
Fund manager -
Launch date 2008-04-01
Currency EUR
ISIN code LU0351545669
Risk indicator 4
Date 2025-04-01
Cena 27.14

Historical returns

Returns

as of 2025-04-01
Short-term returns
Long-term returns
Annualized returns
1 day
0.00% (investment_programs.table.unchanged)
1 year
4.04% (vērtības pieagums)
1 year
4.04% (vērtības pieagums)
1 month
-1.24% (vērtības samazināšanās)
3 years
9.88% (vērtības pieagums)
3 years
3.19% (vērtības pieagums)
3 months
3.60% (vērtības pieagums)
5 years
64.79% (vērtības pieagums)
5 years
10.51% (vērtības pieagums)
6 months
-0.47% (vērtības samazināšanās)
10 years
72.21% (vērtības pieagums)
10 years
5.59% (vērtības pieagums)
Year to date (YTD)
3.60% (vērtības pieagums)