Our mixed funds invest in equities and interest-bearing securities. The ratio between these two types of assets varies among different funds and over time, depending on market outlook. A mixed fund with a larger portion of equities has a higher risk level, as well as the greater possibility for yielding return. Mixed funds generally have a lower risk level than equity funds and a higher risk level than fixed income funds.
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.
You might be interest in our mixed funds suit if you want:
- To benefit from a stock market rise, while limiting the effects of a possible downturn thanks to interest-bearing securities.
- A lower risk level than equity funds, but a higher risk level than fixed income funds.
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.