Danske Invest 2

Norsk Likviditet Class P3

Funds promoting environmental or social characteristics - ISIN: LU3011347971
Documents
Factsheet
Key Information Document (PRIIPs)
Articles of incorporation
Prospectus
Sustainability-related disclosure
Complaints procedure
Investor rights

1,000.64

NAV as of 27.11.2025

-0.01%

Return 1 day

+0.06%

Return 1 W

+0.06%

Return (year-to-date)

Objectives and investment policy

Objectives

The objective of this fund is to achieve the highest possible relative return in relation to the benchmark. The share class is accumulating.

Investment policy

The fund is an actively managed fixed income fund investing mainly in Norwegian short-duration bonds and money market instruments, and bank deposits (Norsk Likviditet).

Specifically, the fund invests at least two-thirds of net assets in bonds and other debt instruments issued by governments, municipalities and other public organisations, companies or credit institutions. These securities are denominated in NOK and comply with VFF industry standards for liquidity funds with low risk.

The management company defines regulated markets as including the Nordic Alternative Bond Market. The fund may invest in securities traded on the Nordic Alternative Bond Market.

The fund does not invest in bonds with a rating lower than Baa3/BBB- (or similar).

The fund has a duration range from 0 to 0.33 of a year. The fund's average weighted term to maturity is maximum one year.

The fund does not qualify as a money market fund under the EU Regulation.

The fund is categorised as article 8 under SFDR and promotes environmental and/or social characteristics, as well as good governance practices, through screening, exclusions, investment analysis and decision-making as well as active ownership. The fund follows Danske Invest's responsible investment policy.

In actively managing the fund's portfolio, the management team selects securities that appear to offer superior investment characteristics across market segments, alongside decisions on portfolio diversification and yield curve positioning.

The fund generally expects that its holdings, and therefore its performance, may differ somewhat from those of the benchmark.

The fund may use derivatives for hedging and efficient portfolio management, as well as for investment purposes.

Fund units can normally be redeemed on banking days.

Recommendation: This fund may not be appropriate for investors who plan to withdraw their money within 1 years.

Exclusions in the fund

The fund is barred from investing in companies that do not comply with the sustainability-related requirements in the fund's investment strategy. This is achieved through a number of exclusions.

Get an overview of the exclusions that apply to the fund as well as the list of excluded companies here.

Sustainability documents

For further information on the fund's environmental and/or social characteristics, see

Risk indicator

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Lower risk

Higher risk

The summary risk indicator is a guide to the level of risk of this product compared to other products. It shows how likely it is that the product will lose money because of movements in the markets or because we are not able to pay you.

This classification may change and may not reliably indicate the future risk profile of the fund. The lowest category does not mean risk free.

This product does not include any protection from future market performance so you could lose some or all of your investment.
 

Manager

Nikola Olsen

Title: Portfolio Manager
Background: Siviløkonom med spesialisering innen finans og prosjektstyring. Tilleggsutdanning: Renteanalytiker
Years of experience: 18

Asset allocation as of 30.09.2025

The allocation is based on the portfolio's bond holdings.
Please note that all holdings are delayed with 1 month.
Norsk Likviditet Class P3

Holdings as of 30.09.2025

Name of investment/security Weight Type Currency Country ISIN code
SPAREBANKEN NORGE FRN 07.04.2026 000000000000002.902.90% Bonds NOK Norway NO0012490053
NORDEA EIENDOMSKREDITT FRN 18.03.2027 000000000000001.871.87% Bonds NOK Norway NO0010981301
ISLANDSBANKI FRN 18.11.2025 000000000000001.831.83% Bonds NOK Iceland NO0012755802
ARENDAL KOMMUNE 4.66% 15.01.2026 000000000000001.801.80% Bonds NOK Norway NO0013460725
KONGSBERG KOMMUNE 4.67% 26.05.2026 000000000000001.771.77% Bonds NOK Norway NO0013571869
KRISTIANSUND KOMMUNE 4.905% 30.06.2026 000000000000001.421.42% Bonds NOK Norway NO0012954322
BN BANK FRN 29.04.2026 000000000000001.411.41% Bonds NOK Norway NO0013547554
SPAREBANKEN MORE 1.28% 10.11.2025 000000000000001.351.35% Bonds NOK Norway NO0010904907
BRAGE FINANS FRN 11.02.2026 000000000000001.271.27% Bonds NOK Norway NO0010925027
NITTEDAL KOMMUNE 4.607% 17.06.2026 000000000000001.181.18% Bonds NOK Norway NO0013593905
Please note that all holdings are delayed with 1 month.

Charges

The charges you pay are used to cover the costs of running the fund, including marketing costs and distribution. These charges reduce the potential growth of your investment.

Charges taken from the fund over a year

One-off charges taken before or after you invest

Other charges *)

*) Other charges are charges which entirely or partially are included in the ongoing charges and/or one-off charges.
Norsk Likviditet Class P3

Facts about the fund

  • Basic information

    Basic information

    ISIN code LU3011347971
    Listed on stock exchange No
    Sub-fund of Danske Invest 2
    Fund domicile Luxembourg
    Dividends No
    Management company Danske Invest Management A/S
    Man. company domicile Denmark
    Depositary J.P. Morgan SE - Luxembourg Branch
    Currency NOK
    Price method Single Price
    Legal type UCITS
    Launch date 20.11.2025
    Marketing permission Luxembourg, Norway
    Class of Norsk Likviditet
    Other classes Norsk Likviditet Class I
    Norsk Likviditet Class NI 1
    Norsk Likviditet Class NI 10
    Norsk Likviditet Class NI 3
    Norsk Likviditet Class NI 4
    Norsk Likviditet Class NI 5
    Norsk Likviditet Class NI 6
    Norsk Likviditet Class NI 7
    Norsk Likviditet Class P1
  • Profile

    Profile

    Profile Actively managed
    Type Fixed income
    Investment area Norway
    Benchmark Nordic Bond Pricing Liquidity Low Risk Index NOK (NOLIQLOWRISK)
    Recommended investment horizon 1 years
  • Today's figures

    Today's figures

    Total assets, mill. NOK as of 27.11.2025 21,141.49
    Shareclass total assets, mill. NOK as of 27.11.2025 0.12
    Net asset value (NAV) NOK as of 27.11.2025 1,000.64
    Duration as of 31.10.2025 0.23
    Yield to maturity as of 31.10.2025 4.49
  • Download documents

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