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SEB 2 Europe Chance/Risk

1 FE Trustnet

FE Crown Rating

Fund Objective

This equity fund has typically a concentrated number of holdings and invests mainly in large and medium-sized companies throughout Europe.

Fund Manager

Magnus Högström

Fund Manager

Domicile

Sector

Currency

Primary Asset Class

Fund Size

EUR 14.88m as at 30-Jun-2015

Unit Name

SEB 2 Europe Chance/Risk C EUR SEK

Inc/Acc

Accumulating 

Citicode

BS47

Initial Charge

1.00%

Unit Currency

SEK 

ISIN

LU0086811550 

Annual Charge

1.40%

Mid

SEK 15636.43

Change (Mid)

-41.03 (-0.26%)
04-Aug-2015

Unit LaunchDate

15-May-1998

Unit Name

SEB 2 Europe Chance/Risk C EUR NOK

Inc/Acc

Accumulating 

Citicode

S482

Initial Charge

1.00%

Unit Currency

NOK 

ISIN

LU0086811550 

Annual Charge

1.40%

Mid

NOK 14891.63

Change (Mid)

-22.60 (-0.15%)
04-Aug-2015

Unit LaunchDate

15-May-1998

Unit Name

SEB 2 Europe Chance/Risk C EUR

Inc/Acc

Accumulating 

Citicode

S483

Initial Charge

1.00%

Unit Currency

EUR 

ISIN

LU0086811550 

Annual Charge

1.40%

Mid

EUR 1651.41

Change (Mid)

-4.22 (-0.25%)
04-Aug-2015

Unit LaunchDate

06-Apr-1999

Performance Overview

Performance Charts

Cumulative Performance

  YTD 3m 6m 1y 3y 5y
Fund 6.10 -3.88 3.39 6.89 28.94 28.09
Sector 9.47 -1.73 4.98 11.69 46.48 49.73

Discrete Performance (%)

  2014 2013 2012 2011 2010
Fund -1.20 11.99 15.93 -14.39 7.58
Sector -1.24 24.05 14.28 -12.35 9.60

Asset Allocation

breakdown chart
  Asset Class % of Fund
European Equities 100.00

Regional Breakdown

breakdown chart
  Region % of Fund
Europe 100.00

Sector Breakdown

breakdown chart
  Sector % of Fund
Financial Services 26.20
Cyclical Consumer Goods 15.90
Health Care 14.30
Industrials 14.00
Consumer Defensive 9.80
Basic Materials 6.90
Communications 4.80
Technology 4.20
Energy 3.70

All prices in Pence Sterling (GBX) unless otherwise specified. Price total return performance figures are calculated using closing mid prices and with net income (dividends) reinvested. NAV total return performance figures are calculated using fully diluted (where applicable) daily estimated NAV figures from Thomson Financial Datastream and with gross income (dividends) reinvested. Performance figures are shown in Pound Sterling (GBP). You can switch the fund’s native currency using the currency selector towards the top of this page.

 
 
 
 
 
Data provided by FE. Care has been taken to ensure that the information is correct, but FE neither warrants, represents nor guarantees the contents of information, nor does it accept any responsibility for errors, inaccuracies, omissions or any inconsistencies herein. Past performance does not predict future performance, it should not be the main or sole reason for making an investment decision. The value of investments and any income from them can fall as well as rise.