Fund Date NAV price 1 day Year to date 1 year 3 years 5 years 10 years Since inception Buy
Equity funds
Fondsfinans Norden 27/09/2022 18104,7368 0.30 % -22.17 % -20.29 % 7.44 % 6.12 % 8.81 % Buy
Fondsfinans Norge 27/09/2022 15146,6584 0.43 % -4.50 % -1.16 % 10.93 % 7.61 % 10.88 % 14.73 % Buy
Fondsfinans Utbytte 27/09/2022 15512,1389 0.15 % -7.47 % -0.97 % 15.19 % 15.53 % Buy
Fondsfinans Global Helse 27/09/2022 53585,0882 0.37 % 1.93 % 5.00 % 10.47 % 9.94 % 15.39 % 7.84 % Buy
Fondsfinans Fornybar Energi 27/09/2022 2671,4876 0.10 % 1.25 % 1.03 % Buy
Mixed funds
Fondsfinans Aktiv 60/40 27/09/2022 64662,1478 0.16 % -3.44 % -1.75 % 7.86 % 6.61 % 8.00 % 8.66 % Buy
Fixed income
Fondsfinans Obligasjon 27/09/2022 10263,16 -0.02 % -0.29 % -0.24 % 0.96 % 1.38 % 1.75 % Buy
Fondsfinans Kreditt 27/09/2022 11290,903 -0.08 % 1.53 % 2.78 % 3.87 % 4.91 % 4.64 % Buy
Fondsfinans High Yield 27/09/2022 10448,3834 -0.01 % 6.99 % 8.84 % 5.20 % 5.90 % 2.45 % Buy
Equity funds
Fund Fondsfinans Norden
Date 27/09/2022
NAV price 18104,7368
Year to date -22.17 %
1 year -20.29 %
3 years 7.44 %
5 years 6.12 %
10 years
Since inception 8.81 %
Fund Fondsfinans Norge
Date 27/09/2022
NAV price 15146,6584
Year to date -4.50 %
1 year -1.16 %
3 years 10.93 %
5 years 7.61 %
10 years 10.88 %
Since inception 14.73 %
Fund Fondsfinans Utbytte
Date 27/09/2022
NAV price 15512,1389
Year to date -7.47 %
1 year -0.97 %
3 years 15.19 %
5 years
10 years
Since inception 15.53 %
Fund Fondsfinans Global Helse
Date 27/09/2022
NAV price 53585,0882
Year to date 1.93 %
1 year 5.00 %
3 years 10.47 %
5 years 9.94 %
10 years 15.39 %
Since inception 7.84 %
Fund Fondsfinans Fornybar Energi
Date 27/09/2022
NAV price 2671,4876
Year to date 1.25 %
1 year 1.03 %
3 years
5 years
10 years
Since inception
Mixed funds
Fund Fondsfinans Aktiv 60/40
Date 27/09/2022
NAV price 64662,1478
Year to date -3.44 %
1 year -1.75 %
3 years 7.86 %
5 years 6.61 %
10 years 8.00 %
Since inception 8.66 %
Fixed income
Fund Fondsfinans Obligasjon
Date 27/09/2022
NAV price 10263,16
Year to date -0.29 %
1 year -0.24 %
3 years 0.96 %
5 years 1.38 %
10 years
Since inception 1.75 %
Fund Fondsfinans Kreditt
Date 27/09/2022
NAV price 11290,903
Year to date 1.53 %
1 year 2.78 %
3 years 3.87 %
5 years 4.91 %
10 years
Since inception 4.64 %
Fund Fondsfinans High Yield
Date 27/09/2022
NAV price 10448,3834
Year to date 6.99 %
1 year 8.84 %
3 years 5.20 %
5 years 5.90 %
10 years
Since inception 2.45 %