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Stefnir hf.

Established Icelandic asset management company whose role is to manage clients’ assets with their best interests as the guiding principle.

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About Stefnir

Stefnir hf. is an independent financial company according to Act No. 161/2002 on Financial Undertakings. The company operates on the basis of an operating license from the Financial Supervisory Authority of the Central Bank of Iceland as a manager of UCITS pursuant to Act No. 116/2021 on Undertakings for Collective Investment in Transferable Securities (UCITS) and as an alternative investment fund manager pursuant to Act No. 45/2020 on Alternative Investment Fund Managers. The company’s operating license also applies to asset management, investment advice, and the custody and management of unit shares or shares in funds for collective investment.

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Open weekdays 9-16

+354 444 7400

stefnir@stefnir.is

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Stefnir hf.

Borgartúni 19, 105 Reykjavík

SSN: 581008 - 0150

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  1. Funds
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  3. Stefnir - Treasury Note Fund

Stefnir - Treas­ury Note Fund

This is marketing material

Please note that this is not a binding agreement but marketing material. Kindly review the fund’s prospectus and key information, and do not base your final investment decision solely on this information.

Performance

Past performance is not a reliable indicator of future performance.

Performance

1 y
​
Nominal rate of return

Source: Stefnir hf.

Key Facts

Holdings

Top 10 po­s­i­tions – 31.07.2026

Position name

Market value

Ratio

Ríkissjóður Íslands

1,729.7 m.kr.

100.0%

Investment policy

Stefnir – Treasury Note Fund invests in non-indexed bonds and bills denominated in ISK and issued or guaranteed by the Icelandic government. The fund is suitable for individuals, companies and institutional investors who want government-guaranteed investments and at the same time invest in non-indexed government bonds.

Documents

Key information document
Prospectus
Financial statements of Stefnir
Taxation of funds

Investment authorisation

Minimum

Maximum

Non-indexed government bond, bills and other non-indexed bonds

90%

100%

Deposits of financial institutions

0%

10%

Disclaimer on investing in funds



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.

Who is this fund suit­able for?

The fund invests in non-indexed government bonds and bills. It is suitable for cautious investors who want stable returns with lower risk. The recommended minimum investment period is three years.

Invest in fundsKey information document
Ri­sk indicator
A fund's risk indicator reflects its overall level of risk. A higher value indicates greater risk, which may lead to higher returns or losses. The risk is based on fluctuations in the value of the underlying assets.
Recomm­ended hold­ing per­i­od
The recommended holding period is the minimum period investors are advised to hold the fund, taking into account its investment strategy and fluctuations in returns.
Invest in fundsKey information document