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      Sustainable selection

      All funds managed by Nordea are covered by our policy for responsible investments. The funds that are presented under the Sustainable Selection have an even more in-depth approach regarding sustainability. This also forms a central part of their investment policy.
      Read more about responsible investments and how we at Nordea take into account sustainability in managing our funds.

      Intro Text

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      • Name

      • Morningstar

      • Fund report

      • Risk

      • Ongoing charges (% p.a.)

      • NAV

      • 1 day %

      • YTD

      • Date

      • Name
        Nordea Funds Ltd.
        China Fund
      • Morningstar -
      • Fund report
      • Risk 6
      • Ongoing charges (% p.a.) 1.85
      • NAV 23.1949
      • 1 day % -3.07%
      • YTD -26.17%
      • Date 24/05/2022
      • Name
        Schroder
        Euro High Yield
      • Morningstar -
      • Fund report
      • Risk 4
      • Ongoing charges (% p.a.) 1.29
      • NAV 144.8471
      • 1 day % 0.32%
      • YTD -10.13%
      • Date 24/05/2022
      • Name
        JPMorgan
        Europe Select
      • Morningstar -
      • Fund report
      • Risk 6
      • Ongoing charges (% p.a.) 1.70
      • NAV 1670.8500
      • 1 day % 0.12%
      • YTD -13.17%
      • Date 24/05/2022
      • Name
        Nordea Funds Ltd.
        India Fund
      • Morningstar 3
      • Fund report
      • Risk 6
      • Ongoing charges (% p.a.) 1.85
      • NAV 31.8375
      • 1 day % -1.33%
      • YTD -11.31%
      • Date 24/05/2022
      • Name
        Nordea Funds Ltd.
        Nora Five
      • Morningstar 5
      • Fund report
      • Risk 5
      • Ongoing charges (% p.a.) 0.79
      • NAV 13.6490
      • 1 day % -0.92%
      • YTD -11.62%
      • Date 24/05/2022
      • Name
        Nordea Funds Ltd.
        Nora Four
      • Morningstar 4
      • Fund report
      • Risk 5
      • Ongoing charges (% p.a.) 0.73
      • NAV 12.8884
      • 1 day % -0.78%
      • YTD -11.50%
      • Date 24/05/2022
      • Name
        Nordea Funds Ltd.
        Nora Three
      • Morningstar 4
      • Fund report
      • Risk 4
      • Ongoing charges (% p.a.) 0.69
      • NAV 11.7429
      • 1 day % -0.54%
      • YTD -10.80%
      • Date 24/05/2022
      • Name
        Nordea Funds Ltd.
        Nora Two
      • Morningstar 3
      • Fund report
      • Risk 4
      • Ongoing charges (% p.a.) 0.64
      • NAV 10.6009
      • 1 day % -0.29%
      • YTD -9.64%
      • Date 24/05/2022
      • Name
        Nordea Funds Ltd.
        World Fund
      • Morningstar 5
      • Fund report
      • Risk 6
      • Ongoing charges (% p.a.) 1.00
      • NAV 0.5728
      • 1 day % -0.96%
      • YTD -10.17%
      • Date 24/05/2022

      Disclaimer

      This material is intended as general information to the recipient. Nothing contained on this site constitutes investment advice, nor is it to be relied on in an investment decision. The information is product-related information only, and it is not to be regarded as an investment recommendation. Nordea recommends that you read the relevant fund prospectus and brochure(s) and contact a professional advisor in order to obtain relevant and specific personal advice, before making any investment decisions. No representation is made that the estimates, data or information herein is complete, and the information can be subject to change without notice. The published Net Asset Values per units are based on the latest available data. All information on this website has been compiled and provided by FundConnect A/S. Neither FundConnect A/S nor Nordea assume any responsibility and cannot be held responsible for the information displayed on this page. Similarly neither FundConnect A/S nor Nordea can in any way be held liable for any effects caused by using any part of the information on this page. The ratings displayed in the service are updated monthly and provided by Morningstar. Past performance of the investment fund is not a guarantee for future results. Investments in funds can increase as well as decrease in value because of market fluctuations, the fund’s risk profile or costs related to subscription, redemption, fund management etc., and the investor may lose the full amount invested. As for Finnish investors, investments in funds with a subscription currency other than the euro and/or in funds which invest in or trade in securities denominated in other currencies than the euro may also be subject to fluctuations in currency exchange rates, which may affect the value of the fund investment. Fund rules, Key Investor Information (simplified prospectuses), brochures and other information material are available at www.nordea.fi/funds or at one of Nordea’s branch offices.

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