Date: 25.08.2024
Funds: All Funds
Risk: All
Info: excel - overview' OR '1'='0'
Fund 1 day 1 year 3 years 5 years Total Rating
0.50 23.49 44.91 116.16 5
0.38 12.13 9.57 29.35 4
0.38 12.48 10.60 30.96 4
0.55 15.03 12.17 42.28 3
0.56 15.52 13.63 44.81 3
0.74 17.87 14.99 57.35 2
0.74 18.51 16.87 60.93 2
0.98 22.48 20.03 82.68 3
0.98 23.29 22.43 87.89 3
0.08 14.34 0.22 52.68 3
0.20 16.66 12.56 80.69 3
0.51 10.07 11.76 62.92 3
0.07 15.20 2.51 - 2
0.51 10.90 14.31 - 3
0.08 15.38 2.97 59.72 4
0.20 17.71 15.64 89.01 4
0.51 11.07 14.82 70.42 4
0.10 - - - -
0.51 10.07 11.76 - 2
- 0.81 24.53 23.86 106.55 4
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.68 27.05 39.11 144.44 4
- 0.38 19.88 38.12 120.40 4
- 0.81 25.53 26.87 - 4
- 0.38 20.85 41.47 - 4
- 0.80 25.78 27.64 117.16 4
- 0.68 28.33 43.35 156.98 4
- 0.37 21.07 42.31 131.67 4
- 0.76 - - - -
- 0.38 19.88 38.12 120.83 4
0.80 9.64 0.38 28.80 5
0.38 13.89 - 9.97 20.70 5
0.49 16.20 1.09 42.85 5
0.36 14.91 - 7.52 - 4
0.81 11.20 3.65 - 4
0.39 - - - -
0.50 17.37 4.10 - 4
0.81 9.64 0.38 - 4
- 0.09 11.15 - 5.83 21.65 4
0.04 13.41 5.77 43.97 4
0.35 7.01 5.02 29.82 4
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.09 11.99 - 3.68 - 3
0.35 7.81 7.40 - 3
- 0.09 12.13 - 3.27 27.22 4
0.04 14.43 8.66 50.61 4
0.35 7.96 7.88 35.78 4
0.34 7.01 5.02 - 3
0.11 9.57 7.32 17.43 3
0.11 - - - -
0.25 12.79 13.09 36.22 4
0.25 12.80 - - -
0.40 16.11 18.94 57.00 4
0.39 16.11 - - -
0.53 19.36 24.64 79.74 3
0.53 19.37 - - -
- 0.75 - 8.33 - 13.91 - 28.84 2
- 0.66 - 6.50 - 3.38 - 15.85 2
- 0.36 - 11.78 - 4.07 - 24.13 2
- 0.72 - 7.31 - 11.40 - 1
- 0.34 - 10.76 - 1.19 - 2
- 0.66 - 5.43 - 0.37 - 1
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.36 - 11.78 - 4.07 - 1
0.17 - - - -
- 0.24 - - - -
- 0.12 - - - -
- 0.24 - - - -
- 0.13 - - - -
0.17 - - - -
0.19 - - - -
0.32 13.16 - 10.62 17.03 -
0.46 15.47 0.38 38.49 -
0.77 8.95 - 0.33 24.88 -
0.34 14.11 - 8.51 - -
0.76 10.76 3.89 - -
0.46 16.46 2.92 - -
0.77 9.91 2.48 31.00 -
0.76 9.04 - 0.37 - -
- 0.06 13.78 4.43 28.98 4
0.11 16.10 17.31 52.69 4
0.41 9.55 16.47 37.68 4
- 14.29 5.73 31.64 4
Fund 1 day 1 year 3 years 5 years Total Rating
0.10 16.57 18.72 55.77 4
0.41 9.99 17.88 40.45 4
0.41 9.55 16.48 32.63 3
- - - - -
- 0.11 6.99 - 8.73 - 7.83 2
- 0.11 7.26 - 8.04 - 6.68 2
- 0.11 7.31 - 7.90 - 2
- 0.11 7.48 - 7.48 - 5.74 3
1.01 0.88 0.90 0.95 -
- 0.23 5.40 - 14.42 - 13.44 3
0.20 1.47 - 4.57 - 7.63 3
- 0.23 5.72 - 13.46 - 3
- 0.23 5.83 - 13.39 - 11.68 3
0.00 4.73 4.93 5.03 3
0.43 0.82 17.01 12.08 3
- 4.84 5.25 - 3
0.00 4.88 5.40 5.82 4
- 0.11 18.60 18.90 59.02 3
0.02 21.02 33.55 88.19 4
0.33 14.19 32.61 69.69 4
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.11 18.76 19.29 59.78 4
0.02 21.15 33.96 89.14 4
0.33 14.30 33.01 70.54 4
- 0.08 18.68 19.00 52.03 3
0.33 14.19 32.60 62.30 3
- 0.48 14.00 7.97 44.83 3
- 0.36 16.29 21.23 71.38 4
- 0.05 9.72 20.37 54.53 4
- 0.49 15.01 10.90 51.50 4
- 0.04 10.71 23.67 60.72 4
- 0.47 15.40 12.08 54.14 4
- 0.35 17.75 25.86 82.44 4
- 0.04 11.90 26.07 65.95 5
- 0.48 13.95 7.91 44.96 3
- 0.05 9.72 20.37 54.75 4
- 0.29 9.01 - 24.84 15.89 2
- 0.16 11.22 - 15.59 37.17 2
0.15 4.94 - 16.19 23.68 2
- 0.28 9.90 - 23.01 - 2
0.15 5.78 - 14.15 - 2
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.29 10.11 - 22.55 21.86 2
- 0.16 12.24 - 13.12 44.03 2
0.15 5.94 - 13.70 29.93 2
0.15 4.95 - 16.19 - 2
0.26 12.26 - 14.46 49.29 3
0.62 8.04 - 4.68 59.28 3
0.17 13.16 - 12.33 - 3
0.62 8.96 - 2.21 - 3
0.14 13.64 - 11.29 - 3
- 0.01 5.38 6.27 5.11 -
- 0.01 5.53 6.75 5.89 -
- 5.69 7.24 - -
- 0.01 5.80 7.56 7.23 -
- 0.01 5.38 6.28 5.11 -
- 5.54 6.75 5.90 -
0.01 8.56 3.38 4.53 3
0.02 9.05 4.79 - 3
0.02 9.45 5.81 8.60 4
0.02 8.57 3.38 4.53 3
0.02 9.05 4.80 6.91 4
Fund 1 day 1 year 3 years 5 years Total Rating
- 5.99 5.40 5.87 3
0.01 6.32 6.36 - 4
0.01 6.43 6.68 8.02 3
- 5.99 5.40 5.88 3
- 6.25 6.19 7.21 3
- 9.61 7.45 11.40 -
- 0.74 30.99 - - -
- 1.15 36.16 - - -
- 1.04 38.82 - - -
- 0.73 31.00 - - -
- 1.14 37.14 - - -
- 0.73 31.98 - - -
- 1.20 37.25 - - -
- 1.03 40.08 - - -
- 0.73 32.44 - - -
0.13 9.75 20.11 59.93 -
0.13 10.19 21.55 63.15 -
0.13 9.75 20.11 - -
0.29 9.65 14.24 - 2
0.37 11.85 28.26 - 2
Fund 1 day 1 year 3 years 5 years Total Rating
0.68 5.54 27.34 - 3
0.22 9.95 15.28 - 3
0.38 12.20 29.43 - 3
0.68 5.86 28.50 - 3
0.24 9.65 - - -
0.67 5.54 27.34 - 3
0.20 - - - -
- 0.17 - - - -
- 0.11 - - - -
- 0.26 - - - -
0.20 - - - -
- 0.26 - - - -
- 0.11 - - - -
0.20 - - - -
0.19 - - - -
- 0.25 21.82 22.32 75.30 4
- 0.12 24.30 37.37 107.45 4
0.18 17.28 36.39 87.05 4
- 0.25 22.07 23.03 77.07 4
- 0.12 24.55 38.42 109.88 4
Fund 1 day 1 year 3 years 5 years Total Rating
0.18 17.51 37.21 88.93 4
- 0.17 - - - -
0.18 17.28 36.39 79.18 4
1.05 - - - -
0.61 - - - -
0.73 - - - -
0.61 - - - -
0.74 - - - -
1.05 - - - -
1.05 - - - -
0.36 28.30 25.37 - 3
- 0.08 33.30 12.44 - 3
0.06 35.98 26.27 - 3
- 0.08 33.58 13.41 - 3
0.05 36.39 27.40 - 3
0.36 29.14 27.58 - 4
0.36 28.30 25.37 - 3
- 0.82 18.15 11.36 51.77 3
- 0.72 20.55 25.05 79.55 3
- 0.41 13.74 24.16 61.90 3
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.82 19.12 14.09 58.29 3
- 0.41 14.65 27.21 69.18 3
- 0.81 19.48 14.97 60.63 3
- 0.71 22.51 30.83 92.43 3
- 0.40 15.64 29.41 73.02 3
- 0.84 18.18 11.35 51.93 3
- 0.41 13.74 24.16 62.13 3
0.19 15.02 2.32 43.44 3
0.32 17.33 14.94 69.74 3
0.63 10.72 14.13 53.05 3
0.64 11.05 15.16 55.36 3
0.19 15.35 3.26 45.59 3
0.33 17.70 15.99 - 3
0.64 11.05 15.17 55.36 3
0.64 10.71 14.14 47.22 2
- 0.29 22.89 13.33 78.16 4
- 0.17 25.38 27.26 110.85 4
0.14 18.30 26.36 90.11 4
- 0.29 23.76 15.73 - 4
0.14 19.13 29.04 - 4
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.29 23.85 16.06 85.43 4
- 0.17 26.39 30.43 119.58 4
0.14 19.25 29.43 97.88 5
0.14 18.30 26.36 90.44 4
0.44 - 11.94 - 34.79 63.68 3
0.59 - 10.14 - 26.75 93.78 3
0.90 - 15.21 - 27.27 74.72 3
0.46 - 11.27 - 33.30 - 2
0.91 - 14.58 - 25.62 - 3
0.45 - 11.12 - 33.00 71.22 3
0.60 - 9.34 - 24.76 102.66 3
0.91 - 14.44 - 25.28 82.77 3
0.90 - 15.21 - 27.27 - 2
0.01 9.77 - - -
0.02 10.26 - - -
0.02 10.48 - - -
0.01 9.77 - - -
- 0.13 5.71 - 5.21 - 5.10 -
- 0.13 6.07 - 4.40 - -
- 0.14 6.03 - 4.35 - -
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.14 5.71 - 5.21 - 5.11 -
0.52 15.82 43.33 104.70 5
0.07 20.31 28.54 91.82 5
0.21 22.75 44.36 127.02 5
0.09 21.23 31.49 - 5
0.52 16.69 46.59 - 5
0.09 21.41 32.07 - 5
0.21 23.87 48.31 137.48 5
0.52 16.87 47.26 114.13 5
0.52 15.83 43.34 105.00 5
0.04 8.66 13.16 17.18 2
0.29 2.39 12.22 5.48 1
- - - - -
0.04 8.98 14.18 18.94 2
0.01 5.41 7.36 8.13 -
0.01 5.50 7.65 8.62 -
0.01 5.40 7.36 8.14 -
0.47 11.72 - 2.71 31.66 2
0.61 14.08 9.26 56.01 2
0.92 7.65 8.50 40.67 2
Fund 1 day 1 year 3 years 5 years Total Rating
0.54 12.73 - 0.27 - 2
0.93 8.51 11.14 - 2
0.52 12.97 0.26 38.72 3
0.61 15.23 12.60 64.01 3
0.92 8.73 11.80 47.88 3
0.91 7.64 8.50 - 2
0.17 10.89 - 0.49 12.64 4
0.28 14.70 1.26 26.25 4
0.42 19.11 4.10 43.95 3
0.01 5.54 10.56 12.87 -
0.26 - 0.53 9.65 1.60 -
0.02 5.65 10.94 13.62 -
0.01 5.31 7.29 8.02 -
0.01 5.38 7.51 8.39 -
0.01 5.42 7.67 8.61 -
0.01 5.18 7.19 7.93 -
0.01 5.26 7.42 - -
0.01 5.29 7.52 8.48 -
- 5.18 7.19 7.92 -
0.05 11.01 9.95 - -
Fund 1 day 1 year 3 years 5 years Total Rating
0.06 11.63 11.78 - -
0.31 4.64 9.04 - -
- 0.18 8.00 - 4.58 - 6.30 2
- 0.17 8.82 - 3.06 - 2
- 0.18 8.59 - 2.99 - 3.69 2
- 0.18 8.00 - 4.58 - 6.30 2
- 0.25 - 4.50 21.09 - 7.98 3
- 0.14 - 2.56 35.98 8.89 3
0.17 - 8.06 35.02 - 1.81 3
- 0.24 - 3.72 24.03 - 4
0.17 - 6.69 40.87 - 5
1.04 0.87 1.27 1.03 -
- 0.13 - 1.62 39.73 - 4
0.17 - 8.06 35.02 - 1.43 3
- 0.05 25.47 - 16.44 93.65 3
- 0.47 30.30 - 25.08 81.46 3
- 0.35 32.98 - 15.84 114.77 3
0.81 21.66 - 43.53 55.08 1
0.10 8.58 6.22 13.92 3
0.17 9.53 7.46 19.86 4
Fund 1 day 1 year 3 years 5 years Total Rating
0.17 9.53 7.46 19.90 4
0.17 9.76 8.11 21.11 4
0.26 11.00 8.60 27.81 3
0.25 11.33 9.58 29.82 3
0.31 12.08 9.78 33.94 3
0.36 13.29 11.14 40.80 4
0.36 13.69 12.32 43.41 5
0.45 15.09 13.02 51.78 4
0.44 15.08 - - -
0.57 18.35 16.66 71.02 4
0.49 23.43 5.62 61.04 3
1.11 25.93 17.59 90.37 4
0.57 18.35 - - -
0.53 20.60 21.01 88.19 4
0.71 19.60 - - -
0.22 23.21 14.23 69.17 3
- 0.21 27.99 2.44 58.54 3
- 0.09 30.58 15.05 87.62 2
- 0.20 28.96 4.78 - 3
0.22 24.14 16.83 - 3
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.21 29.28 5.56 66.67 3
- 0.08 31.92 18.57 97.28 3
0.22 24.43 17.69 77.82 3
0.22 23.21 14.23 - 3
0.30 23.69 20.35 93.96 4
- 0.16 28.43 7.95 81.66 4
- 0.01 31.08 21.21 115.12 4
- 0.16 28.74 8.57 83.60 4
- 0.01 31.35 21.94 117.28 4
0.30 23.93 21.08 - 3
- 0.20 - - - -
0.29 23.68 20.35 - 3
- 0.09 25.56 8.20 72.01 4
0.03 28.11 21.50 103.53 4
0.33 20.87 20.64 83.52 4
- 0.09 26.71 11.16 79.92 3
0.34 21.97 23.94 92.31 3
- 0.08 27.16 12.33 83.10 4
0.03 29.72 26.15 116.67 3
0.34 22.40 25.25 95.36 4
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.09 25.58 8.19 72.25 4
0.33 20.90 20.66 83.81 4
0.65 26.73 - 8.68 55.60 3
0.22 31.64 - 18.10 45.83 3
0.34 34.31 - 8.03 72.57 3
0.22 32.70 - 16.12 - 3
0.65 27.74 - 6.46 - 3
0.22 32.96 - 15.61 53.31 3
0.35 35.66 - 5.22 81.43 3
0.65 28.00 - 5.90 63.59 3
0.22 31.65 - - -
0.65 26.73 - 8.68 55.81 3
0.41 22.12 5.92 54.61 2
0.67 15.09 5.04 39.19 2
0.67 16.86 9.29 - 2
0.42 23.35 9.14 63.43 2
0.43 11.75 - 11.80 20.20 1
0.43 11.98 - 11.27 21.40 1
0.47 - - - -
0.01 7.76 - 2.06 2.23 2
Fund 1 day 1 year 3 years 5 years Total Rating
0.26 1.56 - 2.87 - 7.97 2
0.01 8.02 - 1.32 3.52 2
0.14 10.23 8.40 20.24 3
0.14 10.61 9.55 22.36 3
0.14 10.07 7.91 19.34 3
0.16 10.86 10.13 31.58 4
0.16 11.25 11.30 33.90 4
0.16 10.70 9.63 30.59 4
0.17 9.89 8.23 28.07 4
0.39 15.87 20.69 66.16 4
0.40 16.28 21.96 69.10 5
0.39 15.69 20.14 64.92 4
0.38 14.55 13.93 55.92 4
0.61 20.26 29.62 91.30 5
0.61 20.68 30.99 94.68 5
0.61 20.08 29.05 89.87 5
0.56 18.64 18.84 72.88 4
0.60 19.95 29.61 91.10 4
0.60 20.37 30.98 94.47 5
0.60 19.77 29.03 89.66 4
Fund 1 day 1 year 3 years 5 years Total Rating
0.55 18.63 18.85 73.08 3
0.60 20.03 29.74 90.01 4
0.61 19.85 29.16 88.60 4
0.56 18.68 18.91 72.88 3
0.29 14.00 - - -
0.10 9.22 - - -
0.20 11.71 - - -
0.48 18.62 - - -
0.38 16.38 - - -
- 0.07 7.41 - 0.45 - 1.25 3
- 0.07 7.71 - 0.08 - 4
- 0.07 7.52 - 0.15 - 0.74 3
- 0.07 7.41 - 0.45 - 1.25 3
1.00 1.00 - - -
- 0.01 6.67 7.95 9.83 5
- 0.02 6.68 8.00 - 5
- 0.01 6.68 8.00 9.92 5
- 0.01 6.67 7.95 9.83 5
1.00 0.99 - - -
- 0.06 6.28 10.22 11.91 5
Fund 1 day 1 year 3 years 5 years Total Rating
- 0.06 6.47 10.77 12.83 5
- 0.06 6.46 10.77 - 5
- 0.06 6.28 10.23 11.92 5
- 0.13 5.35 4.01 - 0.59 2
- 0.12 5.60 4.67 - 4
- 0.13 5.66 4.95 0.91 5
- 0.12 5.35 4.01 - 0.59 3
0.38 16.35 8.92 - 2
0.37 16.35 8.92 47.79 2
0.50 27.70 - 26.16 39.55 1
0.07 32.66 - 33.78 30.79 1
0.07 33.66 - 32.28 - 1
0.50 28.65 - 24.48 - 1
- - - - -
0.50 28.86 - 24.14 45.98 1
0.50 27.70 - 26.16 39.76 1
0.43 24.77 - 11.31 70.95 2
0.43 25.39 - 9.97 - 1
0.43 25.40 - 9.95 75.31 2
0.43 24.77 - 11.31 - 1
Fund 1 day 1 year 3 years 5 years Total Rating
0.34 26.32 10.73 82.65 3
0.34 26.45 11.06 83.56 4
0.33 26.32 10.73 - 3
0.35 27.32 5.34 79.14 3
0.35 27.89 6.77 83.22 3
0.35 27.32 5.34 71.58 2
- 0.18 27.72 10.16 90.18 5
0.26 22.97 22.85 102.91 5
- 0.17 28.90 13.18 98.94 5
0.26 24.08 26.21 112.26 5
- 0.17 29.35 14.39 102.45 5
0.26 24.51 27.54 116.00 5
- 0.16 27.77 10.17 90.43 5
0.26 22.96 22.85 103.20 5
0.09 4.04 5.25 - 0.37 3
0.22 6.13 18.16 17.92 3
0.54 0.15 17.32 6.34 3
0.09 4.62 6.99 2.44 3
0.53 0.69 19.28 9.29 3
0.22 7.09 21.40 23.35 4
Fund 1 day 1 year 3 years 5 years Total Rating
0.54 1.05 20.54 11.23 4
0.53 0.14 17.32 - 3
0.16 10.72 1.21 19.96 4
0.27 12.96 13.67 41.96 4
0.58 6.58 12.86 28.00 4
0.15 11.61 3.67 - 4
0.58 7.44 15.60 - 4
0.12 11.83 4.28 26.11 3
0.27 14.09 17.13 49.24 3
0.58 7.65 16.30 34.57 4
0.58 6.58 12.86 28.24 4
- 0.42 26.54 32.91 109.24 4
- 0.30 29.10 49.27 147.59 4
0.00 21.81 48.21 123.25 5
- 0.42 26.66 33.31 110.26 4
- 0.30 29.23 49.72 148.83 4
0.00 21.93 48.65 124.37 4
- 0.42 - - - -
0.00 21.81 48.21 113.98 4
- 1.23 - 22.20 - 25.27 - 70.43 -
Fund 1 day 1 year 3 years 5 years Total Rating
- 1.64 - 29.35 - 35.63 - 82.02 -
1.25 29.38 15.50 124.48 -
1.66 38.45 14.48 166.01 -
0.27 25.19 28.52 119.36 5
0.85 19.56 14.34 47.10 2
0.05 8.11 - 1.01 - 1.63 3
0.06 15.78 4.82 89.79 5
0.76 24.24 18.94 91.72 4
1.36 30.33 - 10.85 59.83 2
0.89 25.83 13.20 83.11 4
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.