A SPECIAL FUND WITH CAPITAL PROTECTION AND LOW CAPITAL REQUIREMENTS
NAV course
The fund's goal is to give a return over time to its shareholders corresponding to the MSCI World index. However, yields should be less volatile than the general trend in the index over time.
Estimated value development, 2024-08-30
+0,02%
Return estimate current month
+9,96%
Yield estimate 2024
Historical value development
+0,02%
Return August
+9,96%
Yield 2024
+37,74%
Return since inception
The figures refer to estimated returns after management fees.
For more information on the latest monthly report or contact us.
DEVELOPMENT PER MONTH
Years
Jan
Feb
Mar
Apr
May
Jun
Jul
Aug
Sep
Oct
Nov
Dec
YTD
2019
1.48%
-4.92%
4.32%
1.03%
-3.01%
1.14%
0.25%
2.50%
2.62%
5.20%
2020
-1.51%
-4.75%
1.59%
0.83%
0.99%
0.63%
2.64%
4.97%
-2.48%
-3.00%
7.83%
2.60%
10.12%
2021
-0.06%
2.68%
2.46%
3.23%
0.57%
0.96%
1.61%
2.18%
-3.26%
3.77%
-0.64%
3.30%
17.91%
2022
-4.44%
-2.31%
0.62%
-3.23%
-2.46%
-4.50%
3.42%
-3.03%
-5.02%
3.67%
3.82%
-4.39%
-17.00%
2023
4.57%
-1.07%
1.80%
1.65%
-0.58%
3.88%
1.57%
-2.32%
-3.39%
-2.46%
4.51%
2.29%
10.46%
2024
2.15%
2.87%
2.76%
-2.51%
2.35%
0.90%
8.71%
Contact the fund company either by phone + 46 (0) 8-12 13 76 76 or by email info@crescit.se to sign up for our monthly letter and get updates directly in your inbox!