Handelsbanken Emerging Markets Index (Criteria) (B1 EUR)

Legal name: Handelsbanken Emerging Markets Index (B1 EUR)
Equity Fund Registered in Sweden (UCITS) Bid

About risk

Historical yields are not a guarantee of future returns. A fund can both increase and decrease in value and it is not guaranteed that you will recover the entire invested amount. Note that a fund with risk level 5-7, as stated in the fund's fact sheet (KID), can vary greatly in value due to the fund's composition and management methodology. The prospectus, fund rules and KID are available under each fund. Summary of investors' rights.

Fact sheet and documents Print page
Factsheet and Information Brochure
Factsheet 
Target Market
Costs and charges
Fund rules (181 kB)
Prospectus (1440 kB)
Periodic reports
Annual review (PF) (2974 kB)
Semi-annual report (1122 kB)
Marketing material
Brief fund information 
Summary SFDR (180 kB)
Objectives and Investment Policy
The fund is an index fund and its objective is to track the performance of the Solactive ISS ESG Screened Paris Aligned Emerging Markets Index NTR as closely as possible. The fund is passively managed.

The fund is passively managed. Fund returns are determined by how the fund's investments in equities increase or decrease in value. The index will be replicated through optimized physical replication, which means that the fund invests directly in a larger selection of the equities included in the index. Tracking error is expected to be less than 0.5% under normal market conditions. The management fee, as well as customer flows, index rebalancing and corporate events result in transaction costs for the fund, which are not present in the index. These are the main factors that impact the fund’s ability to replicate the index. The index is reinvested, i.e., distributions paid for equities included in the index are reinvested in the index after tax adjustments. The fund invests in large and mid-sized companies in Asia, Latin America, Eastern Europe and Africa.

The sustainability requirements in the index aim to reduce carbon emissions. The companies in the index are selected and weighted in such a manner that the index portfolio's emissions of greenhouse gases are aligned with the long-term global warming targets in the Paris Agreement. The sustainability requirements in the index also provide for the exclusion of companies involved in verified violations of international norms, companies that cause significant harm to environmental goals, as well as companies that are active within controversial sectors.
The fund can invest in derivative instruments as part of the fund’s investment focus. However, the use of derivative instruments is of such a nature that it only has a marginal impact on the fund’s risk level.

The share class normally distributes dividends in March each year. The objective is to annually distribute 3,5% of the value of the units at the time of the Management Company’s decision about distributions. However, distributions can be both higher and lower.

Normally, you may purchase and sell fund units every banking day.

Additional information about the sustainability work, the share class designation in parentheses and the management in relation to the funds benchmark index, may be found in the prospectus.

Recommendation: This fund may not be suitable for investors who plan to withdraw their money within 5 years.

Performance

In percent including distribution
The bar chart above shows the fund’s historical performance in EUR, net of fees. If the fund pays dividends, performance is calculated with the distribution added back. Inflation has not been taken into account.
Performance Fund 1 Index 2
30.04.2024 5.46 5.64
2023 7.03 7.65
2022 -13.40 -12.69
2021 3.56 4.68
2020 9.05 9.68
Average. perf. Fund 1 Index 2
2 years 0.88 1.51
3 years -1.92 -1.10
5 years 2.85 3.67
10 years 5.06 6.04
     

Distribution

Date EUR Distribution of fund profits
14.03.2024 0.37

Style Box™ 30.04.2024

The Style Box highlights a specific fund's investment objective and strategy. The style box is a resource that provides insight into the underlying strategy that drives the value growth of the fund. Calculations are based on the most the fund's most recent holdings. More information about Style box

Risk measures (3 years) 30.04.2024

Total risk 13.90%
Total risk in index 13.82%*
Tracking error 0.22%*
Information ratio -3.78*
Sharpe ratio -0.25
Sharpe ratio index -0.20*
Key figures for risk follow-up

Facts

Fund Facts
Fund managed by Caroline Mebius
Country of registration Sweden
Main category Equity Fund
Sub category Emerging markets
Fund, date of launch 14.12.2018
Share class, date of launch 29.11.2023
Fund assets 9,578 MSEK (31.12.2023)
Reporting Currency EUR
Trading Currency SEK
Instrument category Uncomplicated
UCITS Yes
ISIN SE0021147832
Short name EMXB1E
Available for sale Finland, Sweden
Fund Company Facts
Management Company Handelsbanken Fonder AB
Approval of fund operations 06.05.1991
Other approvals Discretionary Asset Management
Manager of Alternative Investment Funds (AIFs)
Provide investment advice
Receive and forward orders
Custodian Institution J. P. Morgan SE - Stockholm Bankfilial
Legal domicile of fund Stockholm, Sweden
Regulation Authority Swedish Financial Supervisory Authority
Auditor PricewaterhouseCoopers
Complaints Manager Jörgen Larson