ODIN Eiendom A EUR

ODIN Real Estate A EUR

ODIN Eiendom invests in companies that are listed on the stock exchange or have their head office or origins in one of the following countries – Sweden, Norway, Finland or Denmark – and are mainly involved in the field of real estate. The fund's long-term goal is to provide higher returns than the Nordic real estate companies in general.

Historical returns are no guarantee of future returns. Future returns will, among other things, depend on market trends, the skill of the manager, the risk level of the fund and the costs associated with subscription, management and redemption. The return may be negative as a consequence of trading losses. Note that all the return figures are net returns.

Historical performance

13.03.2025

Fund Index
1 day -0,69% -0,61%
1 month -12,39% -11,58%
Year to date -8,32% -6,94%
1 year -6,43% -6,89%
3 years -14,61% -12,54%
5 years 2,90% 1,15%
10 years 5,93% 4,95%
Since inception 12,97% 9,82%

All return figures beyond 12 months are annualised

Risk

Lower risk

Higher Risk

1 2 3 4 5 6 7

The risk and return indicator shows the correlation between risk and possible return on an investment in the fund. The indicator is based on how the fund’s value has varied over the last five years.

Risk measurement 1 year 3 years 5 years
Standard deviation 21,81 38,53 36,97
Sharpe Ratio 0,38 -0,18 0,14

Fund manager

Fund manager

Nils Hast

Managed since

14.08.2020

Fund information

  • ISIN

    NO0010923444

  • Fund benchmark

    VINX Real Estate Index

  • NAV/Price 13.03.2025

    EUR 18,9089

  • Total Net Assets (mil) 28.02.2025

    285,82 EUR

  • Minimum subscription amount

    1 000 000 EUR

  • Annual management fee (%)

    0,75%

  • Performance fee (%)

    -

  • UCITS

    Ja

  • Unit class inception date

    14.09.2021

  • Fund inception date

    24.08.2000

Sustainable investments

Sustainability is about how companies take into account the environment and social conditions in their operations, as well as how they are managed, organised and administered. It is therefore a natural and important part of our process to find the best investments for our funds.

Read more

Sustainability classification

8 The fund promotes environmental/social attributes The fund's purpose is sustainability

Morningstar sustainability score:

Morningstar Sustainability Analysis:

Sustainability risk:

15.45 of 100 - LOW

Corporate Sustainability Score:

0
12.91
50
Low ESG Risk Severe ESG Risk

2,05

Environmental

2,24

Social

3,95

Governance

7,2

Other