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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
Administered by Danske Invest Management A/S, the Danske Invest Nordiske Virksomhedsobligationer Akk KL is an accumulation fund. This actively managed sub-fund aims to generate returns by investing in a diversified portfolio of corporate fixed-income instruments. These instruments are issued by companies either headquartered or with significant operations across the Nordic region (Denmark, Sweden, Norway, and Finland). Its strategy strategically allocates capital across both investment-grade and high-yield corporate debt to optimize its overall risk-return profile. As an "Akk" (accumulating) share class, all interest income is automatically reinvested. It also aligns with SFDR Article 8 guidelines, integrating Environmental, Social, and Governance (ESG) factors into its investment decisions.