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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
0.19 - - - -
0.24 35.13 17.48 - 3
- 1.28 10.26 - 19.18 15.16 4
0.31 35.65 18.57 - 4
- 1.31 11.27 - 16.96 - 4
- 1.27 - - - -
0.88 24.48 33.95 113.05 5
0.74 21.51 4.98 51.88 3
0.75 22.43 7.37 - 3
0.75 22.73 8.18 59.66 3
- 0.18 9.81 - 11.49 17.01 4
- 0.19 10.63 - 9.49 - 3
- 0.17 10.78 - 9.10 22.35 4
0.35 21.89 14.32 82.45 5
0.34 21.88 14.34 82.18 5
1.10 10.81 - 11.25 - 3
1.05 9.87 - 13.52 48.08 3
0.35 22.98 17.48 90.60 5
1.09 11.23 - 10.23 - 4
0.36 23.42 18.71 93.97 5
Fund 1 day 1 year 3 years 5 years Total Rating
0.52 33.36 - - -
0.52 34.37 - - -
0.52 34.60 - - -
0.05 8.76 - 4.16 13.13 4
0.05 9.63 - 1.84 - 4
0.05 9.83 - 1.25 18.93 4
- 0.38 12.61 - 1.62 21.95 4
- 0.37 13.07 - 0.43 24.43 4
- 0.36 - - - -
0.50 - - - -
0.53 24.85 10.05 75.26 4
0.53 25.05 10.68 77.07 4
- 2.05 - 26.43 - 38.66 - 80.81 -
- 0.43 - 21.32 - 32.88 61.56 3
1.28 12.18 11.05 40.66 4
1.26 12.18 11.05 40.81 4
- 0.38 - 20.70 - 31.33 - 3
- 0.41 - 20.59 - 31.03 69.08 3
1.28 13.20 14.08 47.14 4
1.28 13.58 15.30 49.74 5
Fund 1 day 1 year 3 years 5 years Total Rating
0.36 25.43 28.88 107.06 3
0.36 26.44 32.01 - 4
0.38 - - - -
0.32 17.01 15.86 50.04 3
0.10 22.82 - 17.57 37.82 3
0.37 26.69 32.81 117.70 4
0.33 17.00 15.84 50.22 3
0.10 22.82 - - -
- 0.33 0.02 9.66 0.35 -
0.32 17.96 18.70 56.55 3
0.11 23.80 - 15.57 - 3
0.10 24.06 - 15.06 44.89 3
0.35 18.26 19.56 58.78 3
0.46 16.92 7.26 35.62 3
0.52 20.20 9.87 65.26 4
0.53 20.21 9.89 65.49 4
0.09 26.49 38.31 109.23 5
0.10 26.37 37.91 108.19 5
0.08 - - - -
0.54 21.29 12.87 72.84 4
Fund 1 day 1 year 3 years 5 years Total Rating
0.48 18.71 11.52 - 2
0.54 21.72 14.07 75.93 4
- 0.32 3.21 12.37 4.29 1
- 1.50 - 19.93 - 28.11 - 69.02 -
0.25 20.77 17.07 75.55 3
0.26 21.64 19.55 - 4
0.26 21.74 19.91 82.72 4
- - - - -
- 0.91 19.04 7.78 55.55 4
0.04 20.83 24.68 72.34 4
0.04 21.10 25.45 74.08 4
1.10 9.96 8.42 88.47 5
- 0.30 5.30 9.09 - -
- 0.26 0.26 - 3.95 - 9.19 2
0.08 - - - -
- 0.77 15.45 5.38 39.65 4
0.83 15.12 22.10 46.50 3
0.08 - - - -
0.88 15.18 22.18 53.31 3
0.82 15.29 22.50 53.97 4
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.47 20.92 - 23.52 74.93 3
- 0.60 11.79 3.14 23.56 4
0.56 7.29 - 23.23 10.89 2
0.54 8.15 - 21.38 - 2
0.54 8.38 - 20.89 16.57 2
0.60 14.03 - 8.55 5.89 -
0.61 14.96 - 6.39 - -
- 0.41 8.78 - 0.41 11.09 4
0.01 4.75 4.52 4.65 3
0.01 4.85 4.83 - 3
0.01 4.90 4.99 5.44 4
0.64 36.39 33.89 - 4
0.64 36.40 33.89 - 4
0.01 5.22 6.81 7.60 -
0.01 5.23 6.82 7.60 -
0.01 5.32 7.11 8.09 -
- 0.97 11.22 - 7.92 - 4
- 0.96 11.23 - 7.92 27.25 5
0.04 5.63 10.13 12.54 -
0.04 5.74 10.50 13.32 -
Fund 1 day 1 year 3 years 5 years Total Rating
0.09 3.26 4.06 - 3.32 3
0.64 37.25 36.21 - 4
0.02 5.02 6.68 7.43 -
- 0.03 6.51 7.27 9.01 5
- 0.04 6.52 7.33 9.10 5
- 0.03 6.52 7.28 9.01 5
- 0.03 6.53 7.34 - 5
0.03 5.12 7.00 7.97 -
0.04 5.02 6.69 7.44 -
0.03 5.10 6.92 - -
0.03 5.17 6.77 7.50 -
0.03 5.28 7.14 8.09 -
0.03 5.25 7.00 7.88 -
0.09 3.78 5.83 - 0.62 3
- 0.09 4.61 - 6.03 - 5.04 -
- 0.09 4.61 - 6.04 - 5.04 -
0.85 23.50 7.73 52.10 2
0.02 5.78 4.87 5.53 3
0.03 5.77 4.87 5.53 3
- 0.08 4.94 - 5.18 - -
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.08 4.94 - 5.27 - -
- 0.94 12.72 - 4.98 - 4
0.03 6.04 5.67 6.86 3
0.03 6.10 5.81 - 4
0.04 6.20 6.14 7.67 4
0.86 24.75 11.01 60.84 3
- 0.16 5.85 9.08 10.07 5
- 0.16 5.86 9.08 10.08 5
- 0.16 6.04 9.62 - 5
- 0.17 6.03 9.62 10.97 5
- 0.03 6.09 - 9.52 - 7.81 2
0.06 9.02 12.86 16.97 2
- 0.03 6.35 - 8.84 - 6.65 2
- 0.02 6.42 - 8.70 - 2
- 0.02 6.58 - 8.29 - 5.71 3
0.07 9.35 13.88 18.74 2
0.01 3.36 - 15.30 - 12.97 3
0.04 20.62 - 32.04 23.88 1
0.02 3.67 - 14.36 - 3
0.02 3.77 - 14.28 - 11.22 3
Fund 1 day 1 year 3 years 5 years Total Rating
0.04 21.53 - 30.50 - 1
0.26 - - - -
0.05 7.95 2.60 4.49 3
0.05 7.95 2.60 4.49 3
- 0.30 6.95 15.93 - 3
0.09 - - - -
1.00 0.99 - - -
1.00 1.00 - - -
0.05 8.43 3.98 - 3
0.05 8.44 3.99 6.86 4
- 0.33 6.98 - - -
1.01 0.88 0.90 0.95 -
1.58 25.97 19.73 112.63 -
0.06 8.84 5.01 8.56 4
0.26 - - - -
- 0.29 7.28 17.10 - 3
0.06 8.97 6.59 10.71 -
0.06 4.27 4.35 0.07 2
0.07 4.27 4.34 0.16 3
- 8.28 - - -
Fund 1 day 1 year 3 years 5 years Total Rating
- 8.29 - - -
0.06 4.58 5.29 1.67 5
0.07 4.47 4.97 - 4
- 0.09 8.39 6.67 13.42 3
0.26 - - - -
0.08 11.21 9.56 - -
0.01 8.78 - - -
0.13 5.89 - 3.54 1.85 2
0.05 6.09 - 1.32 - 1.50 3
0.05 6.09 - 1.32 - 1.50 3
0.05 6.20 - 1.02 - 1.00 3
0.01 9.00 - - -
0.13 6.16 - 2.81 3.13 2
1.04 0.87 1.27 1.03 -
0.05 6.36 - 0.98 - 4
0.08 11.83 11.38 - -
2.10 33.72 20.32 147.64 -
0.05 6.55 - 1.97 - 1.90 3
0.04 5.97 - 5.48 - 6.25 2
0.03 5.98 - 5.47 - 6.25 2
Fund 1 day 1 year 3 years 5 years Total Rating
1.23 22.37 21.74 85.17 4
0.04 6.56 - 3.90 - 3.64 2
0.04 6.79 - 4.00 - 2
- 0.08 9.60 8.38 19.27 4
- 0.07 9.67 8.38 19.35 3
- 0.08 9.60 8.38 19.31 4
- 0.09 9.81 9.02 20.51 4
- 0.07 9.84 8.87 20.24 3
- 0.07 9.26 7.83 17.37 3
- 0.07 - - - -
- 0.07 10.22 10.02 22.36 3
- 0.13 9.20 - - -
- 0.07 10.50 10.68 30.26 4
- 0.09 10.05 9.83 27.43 4
- 0.07 10.66 11.19 31.24 4
- 0.06 11.05 12.36 33.56 4
0.26 19.51 31.52 86.90 5
- 0.06 11.86 9.87 29.10 4
- 0.05 12.21 10.89 30.41 4
0.27 20.42 34.52 - 5
Fund 1 day 1 year 3 years 5 years Total Rating
0.05 5.94 6.42 5.31 -
0.06 5.94 6.43 5.30 -
0.05 6.10 6.90 6.10 -
0.06 6.10 6.90 6.09 -
0.06 6.26 7.39 - -
0.05 6.36 7.70 7.42 -
0.30 20.63 35.17 - 5
- 0.09 11.38 10.35 27.32 3
- 0.08 11.71 11.34 29.32 3
1.10 22.59 19.63 - 3
1.10 22.59 19.63 67.89 3
1.23 22.95 14.77 76.39 4
1.11 23.51 22.35 - 3
1.11 23.80 23.26 76.47 3
0.66 9.28 - 8.93 18.79 1
- 0.08 12.73 12.09 33.56 3
0.66 9.49 - 8.39 19.99 1
0.17 10.78 0.85 29.33 4
0.18 10.79 0.86 - 3
- 0.15 12.24 - - -
Fund 1 day 1 year 3 years 5 years Total Rating
0.19 11.62 3.15 - 3
0.18 11.79 3.61 35.28 4
- 0.05 13.35 - - -
1.45 10.87 - 1.42 63.70 3
- 0.06 13.35 15.01 36.64 4
0.70 22.96 30.30 101.68 5
0.70 22.96 30.30 101.40 5
- 0.39 - 12.26 - 25.24 - 34.99 1
1.46 11.82 1.13 - 4
0.71 24.08 33.87 110.68 5
- 0.08 14.17 14.03 40.54 4
0.71 24.52 35.28 114.39 5
- 0.04 15.08 13.21 42.18 3
0.05 17.00 23.59 64.89 4
- 0.07 14.56 15.23 43.15 5
0.05 17.18 24.15 66.14 4
0.65 20.29 - 10.11 66.96 2
0.65 20.29 - 10.11 - 1
- 0.04 15.58 14.68 44.27 3
0.05 17.59 25.45 69.08 5
Fund 1 day 1 year 3 years 5 years Total Rating
0.86 34.55 - - -
0.86 34.55 - - -
0.66 20.90 - 8.75 - 1
0.66 20.90 - 8.73 71.22 2
- 0.37 - 11.37 - 23.16 - 1
0.87 35.57 - - -
0.87 36.09 - - -
1.07 44.19 34.55 - 4
0.40 9.71 9.20 25.04 4
0.40 9.71 9.20 25.28 4
- 0.54 17.59 - 7.46 42.91 4
1.07 44.63 35.77 - 4
- 0.08 15.56 17.78 55.74 4
0.41 10.59 11.86 - 4
0.41 10.82 12.53 31.46 4
- 0.53 18.78 - 4.72 - 4
- 0.03 13.66 12.14 34.81 4
- 0.03 13.67 12.14 29.88 3
- 0.03 14.12 13.49 37.54 4
- 0.18 15.05 - - -
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.07 16.33 16.83 51.72 4
- 0.06 16.34 - - -
1.13 19.29 18.62 48.46 2
- 0.31 11.81 4.54 41.33 3
- 0.31 12.18 5.47 43.45 3
- 0.40 16.36 12.19 - 2
- 0.39 16.36 12.20 47.39 2
0.89 25.91 25.37 - 3
0.89 25.92 25.37 93.73 4
0.89 26.17 26.12 - 4
- 0.04 17.64 22.47 58.08 4
- 0.04 17.63 - - -
- 0.32 11.38 2.07 51.43 3
- 0.31 12.22 4.39 - 3
- 0.06 - 20.61 - 23.51 78.65 3
- 0.05 - 20.61 - 23.51 - 3
- 0.31 12.39 4.87 58.39 4
1.63 13.17 26.54 55.69 4
1.64 13.17 26.55 55.48 4
0.83 24.12 13.61 - 3
Fund 1 day 1 year 3 years 5 years Total Rating
0.83 24.13 13.61 78.23 3
0.83 24.26 13.96 79.13 3
0.74 24.27 8.73 76.42 3
- 0.02 18.36 16.83 57.42 2
0.75 24.27 8.73 68.98 2
- 0.05 - 20.01 - 21.77 - 3
- 0.05 - 19.89 - 21.41 86.88 3
0.17 22.71 34.76 90.42 5
0.75 24.83 10.20 80.44 3
1.64 14.19 30.00 61.42 4
0.17 22.63 34.67 91.28 4
- 0.01 19.01 18.74 60.38 2
0.17 22.89 35.36 91.85 5
- 0.30 - - - -
0.18 22.82 35.27 92.73 5
0.18 23.25 36.70 96.13 5
0.72 26.54 46.87 129.32 4
1.66 15.43 32.39 66.79 5
0.72 26.54 46.87 128.88 4
0.09 22.84 34.69 91.20 5
Fund 1 day 1 year 3 years 5 years Total Rating
0.09 23.02 35.29 92.63 5
0.10 23.45 36.73 96.03 5
0.72 27.56 50.44 - 4
- 1.26 11.87 2.15 34.11 2
0.72 27.79 51.31 140.58 4
0.46 23.91 - 6.06 52.54 3
0.46 23.91 - 6.06 52.34 3
0.68 18.07 32.03 66.09 3
0.68 18.07 32.03 65.85 3
- 0.21 17.96 - - -
- 1.22 12.76 4.63 - 2
- 1.27 12.89 5.24 40.87 3
0.69 19.02 35.29 73.05 3
0.47 24.91 - 3.78 - 3
0.46 25.16 - 3.20 60.16 3
0.69 20.10 37.59 77.21 4
- 0.03 20.19 24.13 73.12 4
- 0.03 20.20 24.14 73.35 3
- 0.03 20.22 24.15 73.35 3
- 0.05 20.19 - - -
Fund 1 day 1 year 3 years 5 years Total Rating
0.04 - 3.63 15.99 - 14.13 3
0.89 21.28 25.22 82.95 4
0.89 21.26 25.21 82.67 4
0.45 27.48 57.16 130.11 5
0.45 27.48 57.16 120.56 4
0.45 27.61 57.63 131.27 5
0.03 - 2.81 18.82 - 4
0.89 22.37 28.63 91.11 4
1.04 23.11 50.23 125.09 5
- 0.02 21.98 - - -
- 0.02 21.97 30.01 81.76 3
0.90 22.80 29.99 94.45 4
0.61 21.84 33.40 94.04 4
0.61 21.84 33.40 94.38 4
- 0.08 23.14 27.82 89.55 4
0.62 22.70 36.23 - 4
0.62 22.83 36.65 101.97 4
- 0.24 20.69 - - -
0.39 21.90 42.09 82.50 4
0.39 21.90 42.09 90.52 4
Fund 1 day 1 year 3 years 5 years Total Rating
0.39 22.15 42.94 92.44 4
1.53 29.60 20.23 88.54 3
0.02 23.19 22.77 83.12 3
0.03 24.01 25.22 87.41 3
1.54 30.93 23.91 98.24 3
- 0.03 26.06 21.61 91.60 4
0.60 17.12 1.36 45.24 4
0.18 - - - -
0.18 - - - -
0.47 - - - -
0.47 - - - -
0.47 - - - -
0.61 18.19 4.13 51.94 4
1.23 16.18 39.19 69.42 4
1.23 16.19 39.18 62.04 3
1.23 16.30 39.60 70.26 4
- 0.10 22.02 - 12.85 93.44 3
1.02 24.44 - 7.10 57.65 2
1.29 42.24 - - -
1.30 43.54 - - -
Fund 1 day 1 year 3 years 5 years Total Rating
0.90 8.25 - 12.52 - 2
0.90 8.25 - 12.52 22.56 2
0.83 15.99 9.74 40.42 4
0.64 14.64 28.70 64.41 -
0.64 14.65 28.70 - -
0.64 15.11 30.25 67.74 -
0.91 9.12 - 10.39 - 2
0.91 9.28 - 9.91 28.76 2
0.84 17.16 13.09 47.63 3
0.40 20.16 12.69 51.39 4
0.96 15.02 4.21 17.05 -
0.96 15.11 4.15 - -
0.40 20.65 14.05 54.45 4
0.01 16.91 - - -
0.97 16.04 7.16 22.80 -
0.97 16.90 8.53 - -
1.32 33.12 25.99 117.59 4
1.33 33.39 26.75 119.77 4
0.37 - 16.06 - 23.13 100.63 3
2.07 19.65 27.17 74.61 4
Fund 1 day 1 year 3 years 5 years Total Rating
0.38 - 15.31 - 21.03 109.84 3
0.37 5.67 19.11 15.68 3
2.08 21.16 32.03 85.87 5
1.15 33.78 47.59 157.04 3
0.43 4.14 18.63 6.88 3
0.43 4.15 18.64 - 3
1.15 35.13 52.09 170.22 4
0.44 4.73 20.61 9.86 3
0.88 31.00 - 5.60 71.09 3
1.11 24.82 32.69 86.25 3
0.43 5.09 21.87 11.80 4
0.89 32.32 - 2.72 79.86 3
1.13 26.90 38.80 99.57 3
1.32 28.20 25.83 105.14 4
0.88 34.78 57.94 158.42 5
0.88 34.91 58.41 159.72 5
0.37 4.27 - 3.48 - 3.81 3
0.39 21.69 - 22.56 36.92 1
0.39 21.69 - 22.56 37.13 1
1.33 29.82 30.64 118.38 4
Fund 1 day 1 year 3 years 5 years Total Rating
0.39 22.61 - 20.80 - 1
0.40 22.79 - 20.44 43.23 1
1.04 28.81 34.06 117.91 3
0.55 - - - -
1.05 29.87 37.41 126.95 4
0.21 15.77 - 41.48 54.28 1
0.05 7.88 32.16 - 3
0.04 7.87 32.16 - 3
0.05 8.21 33.35 - 3
0.57 - - - -
0.82 28.88 42.79 113.96 4
0.82 29.16 43.88 116.47 4
0.57 - - - -
0.57 - - - -
0.90 - - - -
0.90 - - - -
1.66 22.84 39.87 90.26 3
1.66 22.95 40.30 91.20 4
0.32 29.00 - 12.41 117.24 3
0.63 20.59 49.90 106.89 5
Fund 1 day 1 year 3 years 5 years Total Rating
0.63 20.58 49.90 106.59 5
0.64 21.50 53.31 - 5
0.64 21.68 54.01 116.10 5
1.33 14.44 - 12.08 37.64 2
1.34 15.49 - 9.51 44.54 2
1.39 21.60 4.72 31.45 -
1.40 22.65 7.39 - -
- 0.03 - 11.51 - 14.87 - 28.14 2
- 0.02 - 11.50 - 14.86 - 1
- 0.02 - 10.56 - 12.39 - 2
0.86 10.11 19.22 20.02 3
0.86 11.10 22.48 25.55 4
0.07 12.82 19.09 50.29 3
0.08 12.82 19.10 56.24 3
0.08 13.17 20.18 58.60 3
0.08 13.16 20.18 58.60 3
0.04 12.37 16.31 67.37 4
0.04 12.37 16.31 - 3
0.04 13.22 18.95 - 3
0.05 13.39 19.50 75.08 4
Fund 1 day 1 year 3 years 5 years Total Rating
0.98 - - - -
- 0.94 12.81 16.27 48.19 2
- 0.93 12.81 16.27 - 2
0.48 14.05 32.83 - 3
0.48 14.40 34.02 - 3
- 0.93 13.72 19.10 - 2
0.99 - - - -
- 0.93 13.95 19.82 55.80 3
0.39 - 2.75 32.17 - 4.71 3
0.38 - 2.75 32.17 - 5.08 3
0.40 - 1.26 37.83 - 5
1.06 27.48 50.65 131.99 5
1.07 28.64 54.77 142.68 5
0.52 - - - -
0.52 - - - -
0.53 - - - -
0.40 - 6.44 - 14.44 - 19.30 2
0.41 - 5.36 - 11.78 - 1
0.50 19.28 19.70 75.46 3
0.50 19.65 20.79 - 3
Fund 1 day 1 year 3 years 5 years Total Rating
0.46 18.80 16.89 87.96 4
0.47 19.88 20.09 96.62 4
- 0.51 19.27 16.02 66.44 2
- 0.51 20.47 19.55 74.96 3
0.81 2.81 32.83 6.59 3
0.82 3.80 36.50 - 4
0.95 - - - -
0.95 - - - -
- - - - -
- 0.06 - - - 4