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Aiming for stable returns with controlled risk
Coeli Likviditetsstrategi is an actively managed fixed income fund that invests in money-market instruments and corporate bonds issued in the Nordic market. The fund offers investors exposure to a diversified portfolio with a balanced credit risk and a minimum interest-rate risk. Investments are preceded by traditional corporate analysis, with great importance attached to the company’s business model and their ability to deliver stable profitability.
Please note that the Swedish Based Likviditetsstrategi merged into Coeli SICAV I – Likviditetsstrategi on the 16th of February. This presentation regards Coeli SICAV I – Likviditetsstrategi.
Fixed Income Fund – Nordic money-market instruments and corporate bonds
(Share Class R SEK) = 100 SEK
Investment management fee
(Share Class R SEK) = 0,05 % p.a.
KEEP IN MIND. Fund investments are associated with risk. Past performance should not be seen as a guarantee of future returns. Investments can both increase and decrease in value and you may not get your full investment back.