This investment strategy aims for stable capital growth by allocating up to 100% of funds into money market instruments, short-term bonds, or other short-term interest-bearing securities (primarily denominated in euros) issued by governments, corporations, and other issuers. To manage risk and achieve investment goals, derivative financial instruments may also be utilized.
Get acquainted with the mandatory information document here.
You can find more information on the fund manager's website.
Fund | Evli Euro Liquidity B |
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Fund manager | Evli-Rahastoyhtiö Oy |
Launch date | 1996-01-31 |
Currency | EUR |
ISIN code | FI0008804463 |
Risk indicator | 2 |
Date | 2025-04-01 |
Cena | 27.90 |