Date: 20.05.2024
Funds: All Funds
Risk: All
Info: excel - overview' OR '1'='0'
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.45 28.87 67.25 147.98 5
- 0.45 28.74 66.74 146.73 5
- 0.19 33.39 66.28 126.42 5
- 0.19 33.25 65.78 125.29 5
- 0.19 33.25 65.78 115.94 4
- 0.65 29.41 63.75 156.52 4
- 0.46 14.60 63.48 - 5
- 0.40 33.91 62.77 134.18 4
- 0.20 18.62 62.54 - 5
- 0.40 33.68 61.83 - 4
- 0.20 18.45 61.81 - 5
- 0.29 14.96 60.06 126.09 5
- 0.46 13.57 59.12 108.54 5
- 0.65 28.12 58.91 144.01 3
- 0.20 17.55 58.20 103.25 5
- 0.20 17.55 58.20 103.55 5
- 0.40 32.61 57.99 122.80 3
- 0.40 32.61 57.99 123.22 3
0.32 15.68 56.61 - 4
0.05 11.14 55.49 - 4
Fund 1 day 1 year 3 years 5 years Total Rating
0.05 10.08 51.26 28.83 3
- 0.35 22.45 50.85 109.43 4
0.31 13.94 50.39 17.64 3
0.31 13.94 50.38 18.09 3
- 0.09 26.67 49.73 90.92 4
- 0.35 22.14 49.70 107.01 4
- 0.10 26.42 48.83 81.05 4
- 0.10 26.41 48.83 89.01 4
- 0.61 21.64 47.35 115.37 5
- 0.46 15.23 46.77 87.33 4
- 0.53 17.62 46.52 94.76 3
- 0.45 15.12 46.33 86.41 3
0.03 26.06 46.32 96.00 5
0.01 26.15 46.16 95.65 5
- 0.20 19.27 45.93 71.04 4
- 0.61 21.21 45.81 111.64 5
- 0.62 20.53 45.72 118.91 4
- 0.20 19.15 45.49 62.78 3
- 0.20 19.15 45.49 70.20 4
- 0.26 21.97 45.24 77.40 3
Fund 1 day 1 year 3 years 5 years Total Rating
0.03 25.62 44.79 92.60 5
- 0.36 24.71 44.76 99.72 4
0.03 25.69 44.74 91.53 5
- 0.26 29.81 44.69 109.20 5
0.01 25.71 44.63 92.26 5
- 0.34 22.79 44.61 114.20 5
- 0.37 24.58 44.33 - 4
- 0.26 29.68 44.25 108.13 5
- 0.19 40.23 44.25 - 3
0.02 25.44 44.13 91.16 4
0.03 25.50 44.09 90.10 5
- 0.45 35.08 43.99 - 3
0.01 25.52 43.98 90.82 5
- 0.27 20.74 42.89 73.52 3
- 0.45 34.67 42.70 - 3
- 0.62 19.52 42.15 110.15 3
- 0.61 20.13 41.92 102.32 5
- 0.61 20.12 41.92 102.60 5
- 0.19 39.39 41.90 - 3
- 0.19 39.39 41.90 - 3
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.45 30.35 41.66 116.39 4
- 0.26 15.42 41.43 - 5
- 0.37 23.71 41.33 91.89 3
- 0.37 23.71 41.33 92.22 4
- 0.45 30.09 40.81 - 4
- 0.24 15.29 40.80 - 5
- 0.53 15.71 40.22 81.88 3
- 0.27 19.77 39.42 66.32 3
- 0.27 19.77 39.41 66.07 3
- 0.15 4.91 39.03 - 3
- 0.41 17.74 38.99 68.20 4
- 0.68 12.93 38.78 82.88 4
- 0.06 23.95 38.33 81.57 4
0.12 8.59 38.23 - 3
0.06 25.05 38.09 88.98 3
- 0.10 18.13 38.02 64.14 -
- 0.15 4.59 37.79 - 3
- 0.27 14.41 37.65 87.78 5
- 0.45 29.05 37.46 105.83 3
- 0.80 14.68 37.14 112.20 4
Fund 1 day 1 year 3 years 5 years Total Rating
0.12 8.26 36.99 - 3
0.12 8.26 36.99 - 3
- 0.42 16.48 36.54 63.08 4
- 0.10 17.65 36.37 - -
- 0.10 17.65 36.37 60.88 -
- 0.55 18.70 36.34 92.80 4
- 0.59 18.87 36.31 113.36 4
- 0.34 23.03 35.52 - 4
- 0.59 18.63 35.50 111.23 4
- 0.68 31.94 35.14 149.11 -
- 0.55 18.29 34.92 89.70 4
- 0.34 22.79 34.72 91.92 4
- 0.34 22.79 34.71 - 4
0.25 11.80 34.06 - 4
0.25 18.43 33.95 81.87 3
- 0.68 11.53 33.68 71.80 3
- 0.43 15.43 32.90 56.87 4
- 0.43 15.43 32.90 57.08 4
0.13 21.33 32.61 72.44 3
0.12 21.29 32.60 72.64 3
Fund 1 day 1 year 3 years 5 years Total Rating
0.12 21.34 32.58 72.73 3
- 0.41 16.76 32.51 93.41 3
- 0.17 17.91 32.44 88.77 4
- 0.81 13.26 32.09 99.33 4
0.01 18.66 31.86 68.37 5
- 0.16 20.82 31.71 75.69 3
0.25 17.66 31.36 80.43 3
- 0.55 17.24 31.34 81.38 4
- 0.55 17.23 31.32 81.11 4
0.26 10.88 30.85 8.67 3
0.10 21.37 30.84 71.36 4
- 0.15 20.54 30.76 - 3
0.01 18.25 30.48 65.45 4
- 0.50 24.67 30.38 113.21 -
- 0.15 23.27 30.29 76.36 4
- 0.52 20.11 29.95 96.49 4
0.00 18.07 29.89 64.22 4
- 0.15 23.03 29.52 74.63 4
- 0.26 24.31 29.20 79.41 4
- 0.26 24.13 28.61 - 3
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.42 15.59 28.58 83.96 2
- 0.67 18.38 28.21 98.97 5
- 0.04 18.68 28.01 57.57 4
- 0.16 19.64 27.84 67.14 3
- 0.16 19.63 27.83 - 3
- 0.22 21.29 27.62 83.65 4
- 0.27 16.08 26.97 58.03 4
- 0.67 17.96 26.86 95.55 5
- 0.42 7.41 26.86 64.72 3
- 0.25 15.96 26.56 50.26 3
- 0.27 15.97 26.56 57.22 3
- 0.52 19.03 26.48 87.84 4
- 0.55 17.12 26.21 - 3
- 0.16 11.18 26.12 50.40 3
- 0.23 6.15 26.00 27.75 3
- 0.42 21.35 25.95 84.53 4
- 0.26 23.20 25.75 71.51 4
- 0.26 23.20 25.75 - 3
- 0.42 21.24 25.58 - 3
- 0.29 21.22 25.48 58.09 3
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.29 21.22 25.47 58.10 3
- 0.15 10.96 25.37 - 2
0.03 9.86 25.26 16.64 3
- 0.33 17.72 25.20 62.38 3
- 0.55 16.76 25.07 70.56 3
0.18 14.68 24.91 56.92 2
- 0.24 36.13 24.60 - 3
- 0.29 20.86 24.35 49.81 3
- 0.29 20.85 24.35 55.73 3
- 0.32 17.51 24.33 60.15 3
0.06 16.19 24.12 55.09 4
0.03 9.48 23.95 14.61 3
0.19 17.72 23.94 49.20 2
- 0.66 16.93 23.50 87.19 5
- 0.22 24.31 23.49 78.43 4
- 0.67 16.89 23.49 86.91 5
- 0.24 35.56 23.41 - 3
- 0.42 6.34 23.10 56.68 2
0.18 14.07 23.04 55.59 2
- 0.42 20.39 22.98 77.27 3
Fund 1 day 1 year 3 years 5 years Total Rating
0.07 16.84 22.97 51.10 4
- 0.23 5.19 22.64 22.12 3
- 0.16 10.07 22.39 43.06 2
- 0.16 10.07 22.39 - 2
0.04 8.88 21.93 - 3
0.03 8.88 21.93 11.51 3
- 0.42 20.91 21.80 79.45 3
- 0.42 20.78 21.43 78.56 3
- 0.43 20.78 21.43 - 3
- 0.29 16.59 21.33 53.66 3
- 0.33 16.54 21.28 53.42 3
- 0.59 10.05 20.62 91.56 4
0.05 15.37 20.54 56.42 4
0.07 5.65 20.27 - 3
0.40 23.10 20.20 59.92 3
- 0.49 13.76 20.05 54.26 4
0.06 14.84 20.02 42.55 4
0.31 19.41 19.84 42.83 4
0.56 27.11 19.46 - 2
0.08 5.38 19.25 - 3
Fund 1 day 1 year 3 years 5 years Total Rating
0.07 7.23 19.17 12.55 3
0.16 12.08 19.16 41.90 3
0.05 14.91 19.10 53.32 3
- 0.46 22.20 19.06 81.56 3
- 0.49 13.36 18.82 51.62 4
0.05 14.44 18.76 39.94 4
- 0.61 15.52 18.63 78.11 4
0.30 18.93 18.41 34.87 3
0.31 18.93 18.41 40.00 3
0.22 12.90 18.16 51.25 3
- 0.01 13.51 18.12 35.90 4
- 0.37 19.78 17.91 79.16 4
0.15 11.59 17.74 40.79 3
0.48 16.86 17.47 38.11 4
- 0.46 21.65 17.47 77.52 3
- 0.46 21.65 17.47 70.03 2
- 0.61 15.11 17.39 75.02 4
0.06 15.58 17.38 - 2
0.06 15.58 17.38 47.13 2
- 0.43 19.46 17.20 77.14 4
Fund 1 day 1 year 3 years 5 years Total Rating
0.48 16.62 16.77 - 3
0.40 21.87 16.64 51.09 3
0.04 12.85 15.96 32.98 3
- 0.48 12.35 15.64 44.91 3
- 0.48 12.31 15.63 45.09 3
0.56 25.23 15.12 36.92 3
- 10.35 14.73 32.50 4
0.22 11.78 14.67 43.87 4
- 0.22 17.60 14.62 62.33 3
0.04 11.65 14.46 28.71 3
- 0.60 14.10 14.28 67.34 4
- 0.60 14.08 14.27 67.55 4
- 0.42 8.18 14.20 - 3
0.48 15.69 14.00 31.37 4
0.48 15.70 14.00 31.61 4
0.09 17.96 13.88 58.28 3
0.14 9.51 13.85 28.94 5
- 0.21 17.31 13.76 - 3
0.00 9.96 13.53 30.20 3
0.04 11.33 13.44 26.73 3
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.01 9.80 13.01 29.22 3
- 0.01 9.51 12.90 17.85 2
0.01 10.03 12.87 26.81 4
0.13 9.16 12.87 28.07 4
- 0.31 20.99 12.42 65.77 4
- 0.32 20.80 11.91 - 3
- 0.01 9.19 11.88 16.09 2
- 0.43 7.26 11.32 67.19 3
- 0.22 16.42 11.23 54.41 2
0.01 9.38 11.03 21.37 3
0.02 9.52 10.97 19.92 4
0.07 12.60 10.49 - -
0.15 12.19 10.43 5.20 1
0.02 9.30 10.29 18.68 4
0.02 9.30 10.29 18.72 4
0.01 8.99 9.87 19.27 3
- 0.18 8.23 9.81 38.94 3
0.18 14.28 9.79 41.79 3
0.02 5.59 9.55 12.58 -
0.17 10.70 9.47 51.19 4
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.32 19.89 9.42 58.45 4
0.01 8.84 9.37 18.37 3
0.03 5.49 9.18 11.78 -
- 0.31 17.99 9.17 46.09 3
- 0.18 8.07 9.15 - 2
0.43 14.58 8.84 38.05 4
0.01 8.59 8.77 16.47 3
- 0.11 4.96 8.70 10.49 5
- 0.11 4.96 8.70 - 5
0.07 11.98 8.68 - -
0.43 14.41 8.35 - 3
- 0.06 6.59 8.26 7.51 -
- 0.11 4.78 8.17 9.59 5
- 0.12 4.77 8.17 9.58 5
- 0.38 17.60 8.16 43.89 3
- 0.07 6.48 7.94 - -
- 6.60 7.93 5.90 3
- 7.91 7.76 12.81 3
0.18 8.39 7.75 1.28 -
- 0.07 6.32 7.45 6.17 -
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.07 6.32 7.45 6.17 -
0.23 15.06 7.27 - -
- 0.07 6.16 6.98 5.37 -
- 0.07 6.16 6.97 5.38 -
0.12 22.51 6.95 - -
0.17 9.71 6.55 44.53 4
- 0.28 7.06 6.41 32.09 2
- 0.04 5.69 6.29 - 5
- 0.04 5.69 6.29 8.07 5
- 0.03 5.68 6.25 7.99 5
- 0.04 5.68 6.24 7.98 5
- 0.01 4.90 6.22 7.29 -
- 0.01 4.77 6.19 7.19 -
- 5.97 6.08 3.05 3
- 4.62 6.07 7.08 -
- 0.13 17.46 6.07 - -
- 0.01 4.74 6.03 6.97 -
- 0.01 4.59 5.98 - -
- 4.80 5.94 6.81 -
- 4.81 5.94 6.81 -
Fund 1 day 1 year 3 years 5 years Total Rating
0.43 13.55 5.94 31.96 4
0.43 13.55 5.94 - 3
- 0.01 4.67 5.81 6.60 -
0.12 21.63 5.77 20.36 -
- 4.52 5.76 6.55 -
- 4.52 5.76 6.54 -
- 0.02 5.34 5.07 6.77 4
0.08 11.04 5.07 25.53 4
- 0.06 6.82 4.91 9.38 -
- 0.42 16.59 4.81 77.14 3
- 0.02 5.24 4.76 - 4
- 0.02 5.18 4.60 5.97 3
0.27 16.21 4.29 31.95 4
- 0.16 20.68 4.20 60.94 3
0.02 4.51 4.16 4.76 4
- 0.27 2.73 4.15 0.40 5
0.01 4.46 4.00 - 3
- 0.27 2.62 3.84 - 5
- 0.03 4.92 3.81 4.66 3
- 0.03 4.91 3.81 4.65 3
Fund 1 day 1 year 3 years 5 years Total Rating
0.01 4.35 3.69 3.98 3
- 0.06 7.04 3.60 7.59 4
- 0.19 4.49 3.58 - 1
- 0.16 20.43 3.57 - 3
- 0.14 16.49 3.44 25.61 -
- 0.27 2.43 3.21 - 1.09 3
- 0.28 2.42 3.21 - 1.18 2
0.27 15.73 3.05 29.34 3
0.12 20.57 2.84 14.70 -
0.12 20.63 2.77 - -
0.09 7.95 2.67 - 1
- 0.07 6.64 2.60 - 3
- 0.07 6.64 2.59 5.91 4
0.42 13.72 2.20 27.59 3
- 0.43 15.43 1.71 68.49 3
0.41 13.49 1.61 - 3
- 8.26 1.45 12.76 4
1.04 0.87 1.27 1.03 -
- 0.07 6.17 1.22 3.55 3
- 0.07 6.16 1.22 3.56 3
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.17 19.47 1.12 53.29 3
- 0.17 19.47 1.12 53.09 3
1.01 0.88 0.90 0.95 -
0.05 9.63 0.83 - 4
- 0.49 5.72 0.56 - 3
- 0.20 3.28 0.45 7.35 2
0.31 13.67 0.28 - 4
- 0.09 17.04 0.08 60.25 2
0.07 6.91 - 0.13 - 1.98 2
0.07 6.91 - 0.14 - 1
- 0.48 5.30 - 0.56 - 3
0.42 12.61 - 0.81 21.39 3
- 0.35 5.54 - 0.84 - 3.06 3
- 0.24 14.80 - 2.07 70.56 2
0.05 8.54 - 2.08 41.85 4
- 0.24 14.80 - 2.09 - 1
- 0.31 4.53 - 2.28 41.04 2
- 0.13 3.83 - 2.34 - 4
- 0.13 3.71 - 2.35 - 2.25 3
- 0.13 3.60 - 2.65 - 2.74 3
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.13 3.60 - 2.65 - 2.74 3
0.31 12.35 - 2.65 29.52 4
0.31 12.34 - 2.66 - 4
- 0.05 8.25 - 2.79 28.84 2
0.11 2.34 - 2.88 2.51 2
- 0.14 3.87 - 3.11 - 3.21 3
- 0.50 4.38 - 3.17 54.47 3
- 0.05 8.08 - 3.33 - 2
- 0.24 14.22 - 3.55 66.32 2
- 0.24 14.22 - 3.55 - 1
0.10 2.08 - 3.62 1.22 2
0.29 7.12 - 4.03 16.42 1
0.30 6.91 - 4.60 15.26 1
0.26 4.89 - 4.86 - 8.28 2
- 0.17 3.75 - 4.97 - -
- 0.31 3.59 - 5.07 34.30 2
- 0.23 3.06 - 5.08 - 4.92 2
- 0.17 3.71 - 5.10 - -
- 0.22 3.27 - 5.25 - 2
0.38 11.50 - 5.30 27.52 4
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.05 7.22 - 5.62 22.62 2
- 0.05 7.22 - 5.62 - 2
0.37 11.33 - 5.73 - 3
- 0.16 3.45 - 5.81 - 4.65 -
- 0.17 3.45 - 5.82 - 4.65 -
- 0.23 2.50 - 6.64 - 7.50 2
- 0.24 2.49 - 6.64 - 7.51 2
0.37 10.51 - 7.83 21.92 4
- 0.23 5.80 - 8.13 - 4.88 3
- 1.14 - 20.03 - 8.15 106.88 3
- 0.23 5.64 - 8.54 - 2
- 0.88 - 17.22 - 8.67 88.91 3
- 0.23 5.59 - 8.68 - 5.83 2
- 0.88 - 17.35 - 9.08 - 3
- 0.23 17.43 - 9.34 48.69 3
- 0.23 5.31 - 9.36 - 7.01 2
- 0.22 17.21 - 9.87 - 3
- 0.50 7.33 - 10.48 104.37 3
0.05 17.33 - 10.53 5.98 -
- 1.14 - 20.74 - 10.59 97.79 3
Fund 1 day 1 year 3 years 5 years Total Rating
- 4.99 - 10.75 - 1
- 0.24 11.09 - 11.00 86.62 3
- 0.88 - 17.97 - 11.11 80.59 3
- 0.89 - 17.97 - 11.11 - 2
- 0.23 16.27 - 12.01 41.42 3
- 0.41 3.13 - 12.68 - 8.63 3
- 0.41 3.02 - 12.76 - 3
0.24 10.30 - 12.98 - 4
- 4.00 - 13.14 - 9.46 2
- 0.41 2.71 - 13.72 - 10.44 3
0.25 9.30 - 15.31 19.67 4
- 0.10 5.40 - 15.36 19.12 2
- 0.43 11.44 - 15.54 42.98 1
- 0.11 5.19 - 15.89 - 2
- 0.43 11.27 - 15.92 - 1
- 0.43 10.44 - 17.79 36.68 1
- 0.43 10.44 - 17.79 36.88 1
- 0.11 4.34 - 17.88 13.30 2
- 0.95 - 19.45 - 20.53 74.48 3
- 0.94 - 19.58 - 20.90 - 3
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.33 8.09 - 22.59 72.32 3
- 0.93 - 20.16 - 22.64 66.83 3
- 0.49 8.29 - 26.84 - 1
- 0.49 7.48 - 28.47 26.28 1
0.53 - 19.29 - 34.84 - 69.53 -
0.14 - 0.95 - 40.79 50.78 1
0.68 - 25.57 - 46.11 - 81.21 -
- 0.30 - - - -
- 0.49 - - - -
0.30 - - - -
0.01 - - - -
- 0.01 13.50 - - -
- 0.04 18.67 - - -
- 0.05 23.96 - - -
- 0.18 - - - -
- 0.25 - - - -
- 0.43 - - - -
- 0.25 - - - -
- 0.43 - - - -
- 0.18 - - - -
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.17 - - - -
0.07 18.34 - - -
0.18 - - - -
- 0.43 44.38 - - -
- 0.48 40.50 - - -
- 0.69 39.49 - - -
- 0.43 44.37 - - -
- 0.47 41.57 - - -
- 0.43 45.47 - - -
- 0.47 41.82 - - -
- 0.68 40.76 - - -
- 0.42 46.20 - - -
- 5.31 - - -
- 0.20 - - - -
- 0.26 - - - -
- 0.46 - - - -
- 0.26 - - - -
- 0.20 - - - -
- 0.26 - - - -
- 0.46 - - - -
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.20 - - - -
- 0.21 - - - -
- 0.09 - - - -
0.01 - - - -
- 0.09 - - - -
- 0.25 - - - -
- 0.09 - - - -
- 0.25 - - - -
0.01 - - - -
0.01 - - - -
- 0.01 8.21 - - -
- 0.01 8.70 - - -
- 0.01 8.92 - - -
- 0.01 8.22 - - -
- - - - -
0.07 16.83 - - -
0.11 21.38 - - -
0.23 4.30 - - -
- 0.22 16.27 - - -
0.74 - - - -
Fund 1 day 1 year 3 years 5 years Total Rating
0.15 - - - -
0.04 - - - -
0.09 - - - -
0.25 - - - -
0.20 - - - -
1.00 1.00 - - -
1.00 0.99 - - -
- 0.45 - - - -
- 0.26 - - - -
Svenska Handelsbanken AB (PLC)

Historical yields are not a guarantee of future returns.
The money you invest in a fund can both increase and decrease in value and it is not guaranteed that you will recover the entire invested amount. Handelsbanken does not assume liability for any errors in the information.
The rating shows which funds have historically posted the strongest performance in relation to risk. Ratings are denoted by a scale of one to five stars, with five as the highest rating. A fund must have a performance history of at least three years to receive a rating.
Handelsbanken's funds are classified in seven risk classes, 1 for the lowest risk and 7 for the highest risk.