Split NAV price

Storebrand Asset Management has decided to split the NAV price for the equity fund Storebrand Norge A (NO0008000783) on 10 February 2023. The NAV price EOD will be executed with a factor split of 1000.

By  Frode Aasen
ARTICLE · PUBLISHED 10.01.2023

Historical returns are no guarantee of future returns. Future returns will depend, among other things, on market developments, the manager's skills, the fund's risk profile and management fees. The returns can be negative as a result of price losses. There is risk associated with investments in the fund due to market movements, developments in currency, interest rates, economic conditions, industry- and company-specific conditions. Before investing, customers are advised to familiarize themselves with the fund's key information and prospectus, which contains further information about the fund's characteristics and costs.