Mandatum Fund Management S.A.
Mandatum Fund Management S.A.
Mandatum Fund Management S.A. is a subsidiary of Mandatum Asset Management and manages Mandatum Asset Management’s UCITS funds registered in Luxembourg.
Mutual Funds
Mandatum Nordic High Yield Total Return Fund invests in Nordic High Yield instruments.
Key Information Document A EUR cap.
Key Information Document B EUR cap.
Key Information Document C EUR cap.
Key Information Document I EUR cap.
Key Information Document I2 EUR cap.
Key Information Document A SEK cap. hedged
Key Information Document B SEK cap. hedged
Key Information Document C SEK cap. hedged
Sustainability-related disclosure of Mandatum Nordic High Yield Total Return Fund
Mandatum Stamina Equity Fund aims to achieve long-term capital growth by investing in European equities of any market capitalisation. The Fund is actively managed but does not have a benchmark index.
Key information Document B EUR Cap
Key Information Document F1 EUR cap. perf.
Key Information Document F2 EUR cap. perf.
Key Information Document F3 EUR cap. perf.
Key Information Document S1 EUR cap.
Key information Document S3 EUR cap.
Key Information Document FS I EUR cap.
Sustainability-related disclosure of Mandatum Stamina Equity Fund
Mandatum Fixed Income Total Return Fund invests globally in corporate and government bond markets, and manages investment risks actively through a careful selection process of investments.
Key Information Document A EUR cap.
Key Information Document B EUR cap.
Key Information Document C EUR cap.
Key Information Document I EUR cap.
Key Information Document I2 EUR cap.
Sustainability-related disclosure of Mandatum Fixed Income Total Return Fund
Mandatum Managed Futures Fund aims to achieve long-term positive absolute returns by investing in liquid futures using long/short strategies following its systematic momentum based methodologies.
Key Information Document A USD cap. perf.
Key Information Document X USD cap.
Mandatum Nordic Active Ownership Equity Fund invests in Nordic companies with an active ownership approach and a concentrated portfolio.
Key Information Document I EUR cap.
Key information Document I2 EUR Cap
Sustainability-related disclosure of Mandatum Nordic Active Ownership Equity Fund
Mandatum SICAV-UCITS
Information related to the Mandatum SICAV-UCITS:
Prospectus
List of available share classes
Articles of Association
Annual Report
Semi-Annual Report
Responsible Investment Policy
Swing Pricing Information
Engagement Policy
Annual Disclosure of the Implementation of the Engagement Policy
Notice to Shareholders of sub-funds: Mandatum SICAV-UCITS Mandantum European Small & Mid cap equity fund and Mandatum SICAV Mandatum Stamina equity fund
Mandatum Fund Management S.A. sustainability-related disclosures:
Article 3: Integration of sustainability risk into the investment processes
Article 4: Statement on principal adverse impacts of investment decisions on sustainability factors
Summary of PAI Statement (English)
Article 5: Integration of sustainability risk to remuneration policy
Mandatum SICAV-UCITS sustainability-related disclosures
Mandatum's Responsible Investment Policy
Mandatum's Responsible Investment Policy describes the company’s commitment to responsible investing, how the policy is implemented in investment decisions and how it is reported on.
Read moreCompany information
Fund Management Company:
Mandatum Fund Management S.A.
Street address: 53 Boulevard Royal, Luxembourg L-2449, Luxembourg.
Complaints Handling Policy
Remuneration Policy
Voting Rights and Engagement Policy
Legal disclaimer
Welcome to Mandatum Fund Management S.A.’s UCITS Funds website
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The investment funds and the information contained on this website are intended solely for prospective investors from the jurisdictions where these investment funds have been passported and authorized for sale. Such jurisdictions are Finland, Luxembourg, Sweden, Switzerland, Germany, Austria, and Denmark. However, please note that not all funds may be passported and authorized for sale in all these jurisdictions, and the sale of fund shares may require additional investor qualifications in certain jurisdictions. It is your responsibility to be aware of the applicable laws and regulations of your country of residence. Further information is available in the Prospectus or other constitutional document for each fund.
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The information contained on this website is provided solely for informational purposes and has no contractual value. It should not be construed as an offer or solicitation for the purchase or sale of interest in any fund mentioned herein.
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