Katla Fund - Global Equity
International equities

Investment policy

Katla Fund – Global Equity invests in international operating companies which the fund managers consider to have a lasting competitive advantage. The focus is on investing in reliable operating companies which have demonstrated high and stable profitability, are moderately leveraged and have significant potential for organic growth. The fund invests in those companies, sectors and regions which the fund managers believe are most likely to yield the best investment returns. The objective of the fund is to seek long-term return by outperforming the MSCI World index. The fund is suitable for investors who wish to diversify risk by investing in international equities and who are willing to accept considerable volatility in returns.

Asset allocation

Nominal rate of return (ISK)

Performance

International equities
Katla Fund - Global Equity

Disclaimer

The information provided here has not been independently reviewed.

Stefnir hf. operates as an alternative investment fund manager pursuant to Act No. 45/2020 on Alternative Investment Fund Managers, and UCITS pursuant to Act No. 116/2021 on Undertakings for Collective Investment in Transferable Securities (UCITS).

Please note that investing in unit shares involves a certain amount of risk. Investments can fall in value or lose all of their value. An alternative investment fund is generally considered to represent a higher risk investment than a UCITS. The greater risk associated with alternative investment funds is a result of its broader investment limits which could result in less risk distribution than in a UCITS.

Funds' investment returns are generally presented as nominal returns. Investment returns on Stefnir's website and promotional material connected to the funds show nominal returns, unless otherwise stated. All returns are calculated in Icelandic krónur.

Stefnir hf. has divided its funds into seven different categories depending on the standard deviation in weekly returns over the past 5 years. Category 1 is the least volatile, while category 7 is the most volatile. A fund can be moved into a different category if the volatility of the underlying financial instruments changes. The categorization is based on guidelines issued by the European Securities and Markets Authority. Previous returns on investments in funds are no indication of future returns on investments. Categorizing funds according to the volatility of returns does not reflect all risks involved in the funds' investments. For example, the categorization does not take into account possible defaults by the issuers of financial instruments in which the fund has invested, or other risk factors. The categorization of the funds is subject to the above provisos.

Deposits of funds for collective investment are not insured under Act No. 98/1999 on Deposit Guarantees and Investor Compensation Schemes.

Further information on the fund, including more detailed information on the risk inherent in investing in unit shares, can be found in the fund’s prospectus or KID which can be obtained from branches of Arion Bank or viewed here: www.stefnir.is/english/funds/.