Danske Invest

Nordisk Kredittobligasjon, klasse NOK h

ISIN codeDK0060500692
DomicileDenmark
CurrencyNOK
NAV as of 18.04.2024131.46
Total assets, mill. 18.04.2024DKK 2,872
Shareclass total assets, mill. 18.04.2024NOK 861
Websitehttps://www.danskeinvest.no
Performance scenariosView
Key Information Document (PRIIPs)

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Prospectus
Factsheet
Annual report
Semi-annual report
Semi-annual holdings
Articles of incorporation
Complaints procedure
Investor rights
Sustainability-related disclosure
PAI Report
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PRIIPs KID archive:



5 year archive of Key Investor Information:

16.12.2022
04.10.2022
01.07.2022
17.06.2022
13.04.2022
22.03.2022
01.03.2022
28.02.2022
31.01.2022
01.12.2021
31.08.2021
10.06.2021
18.03.2021
08.03.2021
15.02.2021
05.01.2021
02.12.2020
05.10.2020
20.07.2020
12.06.2020
20.05.2020
07.05.2020
24.04.2020
08.04.2020
31.03.2020
16.03.2020
10.03.2020
17.02.2020
14.06.2019