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Mutual funds in focus

Handelsbanken's Funds

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.


Responsible Investments

All our funds support UN Principles for Responsible Investments (PRI).

Fund 1 day 1 year 3 years 5 years Total Rating
0.34 32.02 63.94 144.51 5
0.34 31.89 63.45 143.30 5
1.03 16.64 62.58 - 5
0.59 36.02 61.62 123.00 5
0.59 35.89 61.13 121.89 5
0.59 35.89 61.13 112.68 4
1.02 16.72 60.95 124.74 5
1.28 20.17 60.28 - 5
1.28 19.99 59.56 - 5
0.49 33.91 59.32 153.46 4
1.03 15.59 58.25 108.54 5
0.73 37.94 57.02 131.10 4
0.73 37.70 56.12 - 4
1.27 19.10 56.00 101.82 5
1.27 19.10 56.00 101.53 5
- 0.19 19.17 55.17 - 4
0.06 23.45 54.93 - 4
0.49 32.58 54.60 141.09 3
0.73 36.60 52.41 120.30 3
0.73 36.60 52.41 119.88 3
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.19 18.04 50.94 22.57 3
0.05 21.61 48.80 12.22 3
0.05 21.61 48.80 11.79 3
0.20 24.88 47.73 105.39 4
0.20 24.55 46.60 103.00 4
0.78 15.78 46.23 85.14 4
0.78 15.67 45.80 84.22 3
0.45 28.58 45.39 87.01 4
0.82 20.57 44.53 114.31 5
0.45 28.33 44.52 85.15 4
0.44 28.33 44.52 77.35 4
0.49 19.34 44.51 92.24 3
1.02 19.29 44.16 68.85 4
1.02 19.17 43.73 60.70 3
1.02 19.17 43.73 68.02 4
0.82 20.15 43.02 110.59 5
0.50 22.81 42.61 115.07 4
- 0.11 18.77 42.10 108.19 5
0.73 23.22 42.10 74.94 3
1.24 25.06 41.98 90.88 5
Fund 1 day 1 year 3 years 5 years Total Rating
1.21 25.06 41.78 90.59 5
0.21 7.42 40.56 - 3
1.24 24.62 40.50 87.56 5
0.75 26.47 40.47 95.99 4
1.24 24.69 40.44 86.46 5
1.21 24.62 40.30 87.29 5
0.75 26.34 40.05 - 4
1.24 24.43 39.86 86.17 4
1.25 24.50 39.81 85.08 5
0.73 21.93 39.77 70.83 3
0.21 30.01 39.71 104.56 5
1.22 24.43 39.66 85.89 5
0.59 37.19 39.64 - 3
0.83 14.16 39.35 80.79 4
0.22 7.10 39.31 - 3
0.21 29.90 39.28 103.52 5
0.81 19.07 39.20 101.32 5
0.81 19.07 39.20 101.60 5
0.50 21.77 39.10 106.46 3
0.84 41.79 38.70 - 3
Fund 1 day 1 year 3 years 5 years Total Rating
0.46 10.68 38.58 - 3
0.89 14.89 38.58 - 5
0.59 36.79 38.40 - 3
1.08 18.46 38.38 66.08 4
0.48 17.40 38.33 79.55 3
0.90 14.70 37.93 - 5
0.47 10.34 37.33 - 3
0.46 10.33 37.33 - 3
0.75 25.46 37.13 88.29 3
0.75 25.46 37.13 88.62 4
0.84 40.94 36.44 - 3
0.84 40.93 36.44 - 3
0.73 20.96 36.37 63.74 3
0.73 20.96 36.37 63.98 3
1.08 17.20 35.95 60.74 4
0.35 31.88 35.76 112.01 4
0.43 14.45 35.75 111.22 4
0.51 19.79 34.96 62.30 -
0.35 31.62 34.95 - 4
0.87 13.83 34.82 84.82 5
Fund 1 day 1 year 3 years 5 years Total Rating
0.83 12.74 34.22 69.84 3
1.15 23.06 34.00 76.68 4
0.68 17.92 33.83 92.63 4
0.63 17.80 33.75 108.46 4
0.51 19.31 33.35 - -
0.50 19.30 33.35 59.09 -
0.64 17.56 32.95 106.40 4
1.29 24.03 32.64 83.91 3
0.68 17.50 32.44 89.26 4
1.07 16.15 32.32 55.11 4
1.07 16.15 32.32 54.89 4
0.89 21.37 31.86 - 4
- 0.34 17.20 31.76 - 4
0.35 30.57 31.74 101.66 3
0.89 21.13 31.07 88.23 4
0.88 21.13 31.07 - 4
0.06 31.90 31.03 142.68 -
0.43 13.02 30.75 98.41 4
1.15 17.90 30.40 78.52 3
0.39 16.17 29.17 88.38 3
Fund 1 day 1 year 3 years 5 years Total Rating
0.87 18.04 28.95 65.26 5
0.68 16.47 28.92 81.24 4
0.67 16.45 28.90 80.96 4
1.51 16.49 28.70 83.85 4
- 0.32 16.23 28.62 2.51 3
0.43 24.80 28.52 94.78 4
1.18 20.42 27.99 68.16 3
1.18 20.44 27.98 67.96 3
1.18 20.45 27.94 68.25 3
1.15 17.12 27.84 74.73 3
0.86 17.63 27.60 62.39 4
0.05 24.64 27.42 109.07 -
0.64 19.67 27.32 71.77 3
0.87 17.46 27.03 61.17 4
0.01 8.73 26.84 28.34 3
0.67 28.58 26.70 77.65 4
0.64 19.39 26.38 - 3
1.22 20.44 26.20 66.86 4
0.67 28.38 26.13 - 3
0.06 22.90 25.66 71.49 4
Fund 1 day 1 year 3 years 5 years Total Rating
0.39 15.01 25.34 79.18 2
0.43 23.68 25.09 86.21 4
0.26 12.02 25.05 17.06 3
- 0.07 20.29 24.98 80.55 4
0.07 22.67 24.92 69.84 4
0.43 15.25 24.91 96.57 5
0.88 17.97 24.88 54.33 4
0.67 14.03 24.62 54.87 4
0.67 13.92 24.29 54.20 3
0.59 13.84 24.24 47.14 3
0.25 11.63 23.74 15.02 3
0.43 14.85 23.62 93.16 5
- 0.15 19.12 23.57 - 3
0.63 18.50 23.57 - 3
0.63 18.50 23.57 63.41 3
0.02 7.77 23.47 22.70 3
0.67 27.43 23.32 69.82 4
0.67 27.43 23.32 - 3
- 0.15 18.76 22.46 67.34 3
0.87 14.20 22.42 54.67 2
Fund 1 day 1 year 3 years 5 years Total Rating
0.42 14.45 22.23 47.57 2
0.09 22.72 21.81 54.92 3
0.09 22.73 21.81 54.92 3
0.25 11.02 21.72 11.91 3
0.25 11.03 21.72 - 3
0.34 16.77 21.63 58.91 3
- 1.77 11.61 21.45 63.89 3
0.37 20.89 21.42 79.75 4
0.03 21.43 21.22 75.43 4
0.37 20.77 21.05 - 3
0.84 15.55 20.82 52.03 4
0.36 16.54 20.81 56.72 3
0.10 22.36 20.73 46.81 3
0.09 22.36 20.73 52.61 3
0.87 13.58 20.45 51.97 2
0.44 13.82 20.31 84.64 5
0.41 13.81 20.30 84.87 5
0.07 5.84 19.84 - 3
0.40 9.11 19.81 13.20 3
- 1.53 15.00 19.74 49.46 3
Fund 1 day 1 year 3 years 5 years Total Rating
0.94 16.10 19.47 47.87 4
0.56 18.75 19.36 76.52 3
0.49 35.06 19.05 - 3
- 1.53 14.77 19.03 - 2
0.56 18.63 19.00 75.64 3
0.56 18.62 18.99 - 3
0.70 12.43 18.77 51.23 4
0.08 5.49 18.73 - 3
0.37 19.92 18.53 72.72 3
0.50 34.74 17.98 - 3
0.34 15.61 17.89 50.18 3
0.39 15.62 17.88 50.48 3
- 1.78 10.50 17.86 55.88 2
0.71 12.03 17.53 48.61 4
0.66 11.59 17.33 40.35 3
0.78 14.23 17.19 40.03 4
- 1.54 13.85 16.19 42.16 2
- 1.53 13.85 16.19 - 2
0.61 12.99 16.06 33.93 4
0.61 19.31 15.98 78.57 3
Fund 1 day 1 year 3 years 5 years Total Rating
0.77 13.83 15.96 37.47 4
0.66 11.11 15.82 38.40 3
0.29 12.71 15.68 76.67 4
0.61 21.08 15.19 60.05 3
0.27 8.06 15.08 83.13 4
0.13 16.40 14.92 46.16 4
0.93 25.59 14.51 - 2
0.31 12.32 14.48 73.63 4
0.61 18.77 14.42 67.22 2
0.61 18.77 14.42 74.59 3
0.70 14.25 14.41 - 2
0.71 14.25 14.41 44.63 2
0.71 11.06 14.39 42.31 3
0.71 11.05 14.38 42.09 3
0.49 16.03 14.01 74.48 4
0.65 12.29 13.60 30.93 3
0.13 15.94 13.55 43.26 3
0.38 19.93 13.29 33.30 4
0.50 15.81 13.28 72.55 4
0.42 10.07 13.23 31.20 4
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.09 13.75 13.21 41.50 3
0.03 9.60 12.73 17.73 2
0.45 9.05 12.62 27.98 5
0.54 11.17 12.49 27.07 3
0.42 9.69 12.05 28.92 3
0.37 19.45 11.94 30.66 3
0.37 19.45 11.93 25.87 3
0.61 19.88 11.78 51.20 3
0.03 9.28 11.72 15.98 2
0.15 17.19 11.60 29.05 4
0.44 8.71 11.57 26.70 4
0.42 9.53 11.55 27.96 3
0.54 10.84 11.48 25.09 3
0.29 11.30 11.43 66.25 4
0.28 11.30 11.41 65.97 4
0.41 9.64 11.22 25.46 4
0.15 16.96 10.93 - 3
0.93 23.76 10.40 37.86 3
0.35 12.81 10.34 5.75 1
1.00 15.70 10.16 53.44 3
Fund 1 day 1 year 3 years 5 years Total Rating
0.04 12.53 10.08 - -
0.26 14.41 10.07 57.57 3
- 0.09 12.61 9.86 34.60 4
0.38 9.05 9.82 20.38 3
0.38 9.13 9.59 18.86 4
0.29 22.91 9.52 62.95 4
0.01 5.54 9.42 12.48 -
0.25 14.12 9.24 - 3
0.01 5.42 9.04 11.66 -
0.29 22.73 9.03 - 3
0.37 8.92 8.93 17.67 4
0.37 8.91 8.93 17.64 4
0.96 4.54 8.88 - 3
0.07 4.98 8.84 - 5
0.07 4.98 8.84 10.38 5
0.38 8.67 8.67 18.30 3
0.07 4.80 8.31 9.48 5
0.07 4.80 8.30 9.47 5
0.15 16.02 8.30 22.76 4
0.15 16.02 8.30 22.99 4
Fund 1 day 1 year 3 years 5 years Total Rating
0.04 11.91 8.28 - -
0.38 8.51 8.19 17.41 3
0.14 6.68 7.81 7.59 -
0.33 8.84 7.70 1.81 -
0.35 8.26 7.65 15.52 3
0.14 6.59 7.50 - -
- 0.09 6.74 7.05 5.54 3
0.68 12.84 7.02 38.21 3
0.14 6.43 7.01 6.25 -
0.14 6.42 7.01 6.25 -
0.36 15.54 6.95 - -
0.26 13.27 6.81 49.88 2
0.26 7.57 6.79 12.11 3
0.29 21.80 6.60 55.75 4
0.14 6.27 6.53 5.46 -
0.14 6.26 6.53 5.46 -
0.03 5.53 6.20 - 5
0.04 5.53 6.20 7.88 5
0.04 5.53 6.14 7.78 5
0.03 5.52 6.14 7.78 5
Fund 1 day 1 year 3 years 5 years Total Rating
0.96 3.66 6.13 61.71 3
0.02 4.83 6.08 7.13 -
0.02 4.72 6.04 7.02 -
0.02 4.55 5.92 6.92 -
0.02 4.69 5.89 6.81 -
0.02 4.52 5.83 - -
0.02 4.73 5.80 6.65 -
0.02 4.73 5.79 6.64 -
0.02 4.62 5.67 6.43 -
0.02 4.45 5.62 6.38 -
0.02 4.44 5.61 6.38 -
0.04 16.98 5.33 - -
- 0.25 17.37 5.31 42.17 3
0.29 21.44 5.29 - -
- 0.09 6.11 5.18 2.67 3
0.02 5.26 4.91 6.61 4
- 0.36 15.94 4.86 - 1
0.04 6.75 4.70 9.22 -
0.03 5.15 4.60 - 4
0.02 5.10 4.44 5.82 3
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.32 16.97 4.35 39.98 3
0.28 20.56 4.14 17.42 -
- 0.13 4.01 4.14 0.89 5
0.01 4.45 4.03 4.61 4
0.02 4.40 3.88 - 3
- 0.13 3.90 3.82 - 5
0.02 4.84 3.66 4.50 3
0.02 4.84 3.66 4.50 3
0.02 4.29 3.57 3.84 3
- 1.85 9.98 3.53 37.07 3
0.04 7.02 3.42 7.56 4
- 0.06 10.57 3.40 41.73 4
- 0.13 3.70 3.21 - 0.61 3
- 0.12 3.70 3.21 - 0.69 2
- 0.11 19.17 3.03 - 1
- 1.91 9.64 2.86 - 2
0.04 16.00 2.71 22.99 -
0.50 10.09 2.51 23.31 4
0.04 6.61 2.41 5.88 4
0.04 6.61 2.41 - 3
Fund 1 day 1 year 3 years 5 years Total Rating
0.18 13.92 1.93 29.25 4
- 0.37 14.60 1.69 0.39 2
0.18 13.74 1.47 - 3
1.04 0.87 1.27 1.03 -
0.28 19.52 1.26 11.90 -
0.28 19.56 1.18 - -
0.04 6.14 1.04 3.52 3
0.03 6.14 1.04 3.52 3
1.01 0.88 0.90 0.95 -
- 0.06 9.57 0.64 35.48 4
- 1.88 8.84 0.48 30.42 2
0.31 13.72 0.38 73.12 3
0.25 7.64 0.25 11.59 4
- 0.12 18.07 0.25 - 8.44 2
- 0.13 18.06 0.25 - 1
0.19 12.89 - 0.79 - 3
0.18 12.89 - 0.79 23.55 4
0.17 7.66 - 0.80 - 1.93 3
0.56 17.17 - 1.04 57.89 3
0.56 16.93 - 1.64 - 3
Fund 1 day 1 year 3 years 5 years Total Rating
- 14.63 - 2.09 22.22 4
0.31 12.59 - 2.59 64.67 3
0.00 3.69 - 2.64 - 2.27 3
- 3.79 - 2.65 - 4
0.00 3.58 - 2.94 - 2.76 3
0.00 3.58 - 2.94 - 2.76 3
- 14.16 - 3.26 19.84 3
- 0.06 3.84 - 3.52 - 3.28 3
- 0.23 12.01 - 3.53 18.39 3
- 0.20 1.84 - 3.61 2.08 2
0.33 11.80 - 3.74 - 4
0.56 16.00 - 3.97 50.18 3
0.55 16.00 - 3.97 50.38 3
- 0.21 11.81 - 4.09 - 3
- 0.03 12.16 - 4.16 58.51 2
- 0.21 1.58 - 4.33 0.81 2
0.58 0.36 - 4.78 - 3
0.57 15.37 - 5.09 - 4
- 0.07 3.33 - 5.33 - -
- 0.04 3.10 - 5.42 - 4.82 2
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.05 3.30 - 5.46 - -
0.12 4.88 - 5.51 - 8.08 2
0.38 12.31 - 5.53 69.72 2
0.38 12.31 - 5.54 - 1
- 0.03 3.30 - 5.60 - 2
0.57 1.12 - 5.73 37.06 2
0.51 - 0.08 - 5.93 - 3
- 0.07 3.02 - 6.18 - 4.68 -
- 0.06 3.03 - 6.19 - 4.68 -
- 0.22 10.89 - 6.39 12.59 3
0.33 10.69 - 6.53 34.83 4
0.38 11.74 - 6.95 65.50 2
0.38 11.73 - 6.96 - 1
- 0.04 2.53 - 6.97 - 7.40 2
- 0.03 2.53 - 6.97 - 7.40 2
0.81 4.82 - 7.02 25.06 2
0.67 6.31 - 7.07 16.53 1
0.81 4.67 - 7.52 - 2
0.67 6.10 - 7.62 15.38 1
0.57 14.05 - 7.85 22.97 4
Fund 1 day 1 year 3 years 5 years Total Rating
0.57 14.05 - 7.85 - 4
0.61 - 0.86 - 8.21 48.45 3
0.57 0.21 - 8.43 30.50 2
- 0.11 5.65 - 8.44 - 4.84 3
- 0.11 5.50 - 8.85 - 2
- 0.11 5.44 - 8.98 - 5.79 2
- 0.11 5.17 - 9.67 - 6.96 2
0.81 3.82 - 9.72 19.02 2
0.81 3.82 - 9.73 - 2
- 0.56 13.81 - 11.00 - 1
- 0.32 - 17.82 - 11.52 102.43 3
- 0.20 8.88 - 11.90 18.53 4
- 0.19 8.73 - 12.29 - 3
- 0.12 14.24 - 12.49 2.45 -
- 0.08 - 15.33 - 12.77 84.62 3
- 0.08 - 15.46 - 13.17 - 3
- 0.21 3.32 - 13.22 - 8.23 3
- 0.21 3.22 - 13.29 - 3
- 0.47 12.85 - 13.33 - 16.06 2
- 0.32 - 18.56 - 13.88 93.52 3
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.18 7.92 - 14.24 13.33 4
- 0.21 2.91 - 14.25 - 10.05 3
0.18 11.99 - 14.46 44.81 3
0.29 6.05 - 14.60 101.83 3
0.18 11.76 - 14.98 - 3
- 0.08 - 16.09 - 15.10 - 2
- 0.08 - 16.09 - 15.10 76.49 3
0.54 9.27 - 15.81 84.06 3
0.17 10.88 - 17.00 37.76 3
0.20 10.03 - 18.15 - 4
0.43 0.48 - 19.59 14.76 2
0.45 0.29 - 20.06 - 2
0.84 6.05 - 20.15 40.64 1
0.21 9.02 - 20.34 12.81 4
0.84 5.89 - 20.51 - 1
0.44 - 0.52 - 21.97 9.15 2
0.84 5.10 - 22.28 34.45 1
0.84 5.10 - 22.28 34.65 1
- 0.45 - 19.05 - 24.59 69.37 3
- 0.46 - 19.18 - 24.94 - 3
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.44 - 19.78 - 26.61 61.92 3
0.11 4.41 - 27.24 68.79 3
0.46 1.22 - 31.29 - 1
0.46 0.46 - 32.82 23.32 1
- 0.04 - 19.25 - 33.50 - 69.01 -
- 0.05 - 25.59 - 44.72 - 80.77 -
1.17 - 6.95 - 45.79 48.32 1
0.31 - - - -
0.40 - - - -
0.20 - - - -
0.35 - - - -
0.62 13.00 - - -
0.88 17.97 - - -
1.15 23.06 - - -
0.49 - - - -
0.09 - - - -
0.25 - - - -
0.09 - - - -
0.25 - - - -
0.49 - - - -
Fund 1 day 1 year 3 years 5 years Total Rating
0.49 - - - -
- 0.10 15.18 - - -
- - - - -
1.08 49.92 - - -
0.70 43.31 - - -
0.83 45.51 - - -
1.07 49.91 - - -
0.69 44.42 - - -
1.08 51.05 - - -
0.69 44.58 - - -
0.84 46.83 - - -
1.08 51.83 - - -
0.08 5.49 - - -
0.79 - - - -
0.45 - - - -
0.55 - - - -
0.45 - - - -
0.80 - - - -
0.44 - - - -
0.56 - - - -
Fund 1 day 1 year 3 years 5 years Total Rating
0.80 - - - -
0.81 - - - -
- - - - -
0.80 - - - -
0.44 - - - -
0.56 - - - -
0.44 - - - -
0.56 - - - -
0.80 - - - -
0.81 - - - -
0.21 7.89 - - -
0.20 8.37 - - -
0.21 8.59 - - -
0.20 7.87 - - -
- - - - -
0.95 16.11 - - -
1.22 20.44 - - -
0.32 - 1.72 - - -
0.17 10.87 - - -
0.47 - - - -
Fund 1 day 1 year 3 years 5 years Total Rating
0.67 - - - -
0.27 - - - -
0.48 - - - -
1.06 - - - -
0.88 - - - -
1.00 1.00 - - -
1.00 0.99 - - -
0.48 - - - -
0.18 - - - -