Jyske SICAV Danish Bonds SEK IC
Investment objective
The objective of the portfolio management is to generate a return over time, which at least is in line with the market development in the Danish government bond market. The duration of the portfolio may vary from 4 to 6 years.
Investment policy and specific restrictions
The Sub-Fund primarily invests, directly and indirectly, in DKK-denominated bonds. Investment is primarily made in bonds issued by or guaranteed by states, mortgage-credit institutions and international organisations. In principle, investments in currencies other than SEK will be hedged into SEK.
Please refer to the Prospectus and to the KID of the Share Class before making any final investment decisions: https://jyskesicav.lu/en/about/download
Recommendation – This fund may not be appropriate for investors who plan to withdraw their money within 3 years of investment.