Skip to content

Changes in Swedbank Robur Corporate Bond Nordic

Published 14 augusti 2025

On September 16, we are making several changes to the fund regulations in Swedbank Robur Corporate Bond Nordic. The changes aim to improve the relevance of the fund's risk measurement method and expand the fund's ability to invest in the Nordic corporate bond market. These changes do not require the owners of the fund to take any action.

  • The fund is changing its risk measurement method from a relative Value at Risk model to the Commitment method.
  • A review has been conducted on how the company's commitment to invest in the Nordic market is described, and which types of instruments are defined as Nordic.

For more information, please read the customer letter:

Customer letter – Swedbank Robur Corporate Bond Nordic