The Index and Solutions team offers index funds and custom made solutions with exposure to different regions and markets. The objective is to track the return of a predefined benchmark. This is obtained through effective and transparent management either by full replication or optimization.
Management decisions are based on quantitative models which keep the risk exposures and returns very close to the benchmark. Investments are managed in a precise and systematic manner, always aiming to minimize active risk while taking into consideration the transaction costs involved. ESG is an important and natural element in our management as our indexes reflect SEB's view on responsible investments.