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Risks
Default risk
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Volatility
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Selling difficulty
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Stress test
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Country risks
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Other risks
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About
Managed by Danske Invest Management A/S, the Danske Invest Europa Indeks BNP fund follows a passive, index-tracking strategy. Its objective is to closely mirror the total return of the MSCI Europe Index, including the reinvestment of net dividends. The portfolio is constructed from a diverse selection of large and medium-sized company stocks across developed European economies. This particular share class is exclusively designed for institutional investors or specific distribution partners, such as BNP Paribas. Furthermore, environmental, social, and governance (ESG) factors are embedded within its investment methodology, resulting in its classification as an Article 8 fund under the Sustainable Finance Disclosure Regulation (SFDR).