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The Arvo Nordic Value Fund is intended for investors who are looking for a value investment solution on the Nordic equity markets that is profitable, professionally managed and well-diversified. The fund is well-suited, as a part of a diversified investment portfolio, to investors who can accept even substantial changes in the value of the fund from time to time. The recommended investment horizon in the fund is more than five years.
The assets of the Arvo Nordic Value Fund are invested in a diversified manner mainly in publicly traded equities whose issuer is a Nordic value company, a value company listed in the Nordic countries, or a value company that is highly dependent on the economies of the Nordic countries. Value companies are defined as companies whose market value is low in terms of their price-to-book ratio (P/B ratio). In an Arvo Value investment strategy, companies are arranged in order according to their P/B ratio, and the fund can invest in the equities of the lower half of the list. Other investment criteria include the equity-to-assets ratio, the company's cash flow and return on equity. The fund will aim to focus on small and medium-sized enterprises, but part of the assets will also be invested in large companies. The general performance of the Nordic equity markets is reflected in the value of the fund.