Our equity funds invest in companies in most markets around the globe. This gives you as an investor the opportunity to focus on a specific country or an entire region.
Note that some of our funds are only for distribution in Sweden.
Past performance does not guarantee future performance. The value of investment funds and other financial instruments may rise as well as fall and there is no guarantee you will recover your original investment.
Since the development of the equity fund is related to the development of the stock market, the fund’s value can vary quite a lot. Investing for a longer period of time, helps to spread the risks. Therefore, equity funds are most suitable for long-term investments.
Our equity management utilise two different management methods – fundamental and quantitative – for our equity funds. Fundamental equity management, which applies mainly to our domestic markets, is characterised by in-depth fundamental analysis where, among other things, meetings with the management of companies are central to gain a deep understanding of the companies and their business models. For our quantitative managed funds, we employ sophisticated, modern methods to systematically analyse the equity markets by gathering and analysing large amounts of data from around the world.
You may be interested in our equity funds if you:
- Wish to invest in stocks but with a broader spread as compared to investing in individual shares
- Are comfortable with a higher risk level
- Aim to invest long-term such as saving for your retirement
SEB Investment Management AB is a wholly owned subsidiary of Skandinaviska Enskilda Banken AB. The fund company was formed May 19, 1978, with headquarters in Stockholm and organization number 556197-3719.