Fund values  keyboard_arrow_down

Fund values

Numbers in the following table are cumulative, not annualized.

The annualized figures for periods exceeding one year and the YTD figures are here.

Latest fund values
Fund Date Acc. 1 d 1 mon3 1 yr 3 yr 5 yrs 10 yrs 15 yrs 20 yrs
Passive funds
Europe 21.01.2025 4,894 € 0,04 % 5,11 % 14,83 % 22,50 % 38,71 % 96,81 % 202,34 % 223,68 %
North America 21.01.2025 61,880 € 1,05 % 4,19 % 32,60 % 56,64 % 107,56 % 279,73 % 660,69 % -
Asia 21.01.2025 8,464 € -0,09 % 1,87 % 15,36 % 20,76 % 35,65 % 76,05 % 151,54 % 140,25 %
Emerging Markets 4 20.01.2025 16,426 € 0,29 % 0,28 % 17,93 % 4,52 % 17,11 % 54,00 % - -
Global Brands 21.01.2025 17,432 € -0,30 % 0,42 % 14,97 % 18,13 % 54,85 % 185,56 % 532,12 % 758,30 %
Global Pharma 21.01.2025 42,890 € -0,48 % 1,16 % -3,72 % 12,81 % 28,34 % 69,43 % 348,07 % 452,49 %
Finland 21.01.2025 11,334 € 0,32 % 6,10 % 5,44 % -6,46 % 20,74 % 106,69 % 230,11 % 354,45 %
OMXH 25 ETF 1 21.01.2025 65,48 € 0,52 % 5,07 % 6,14 % -5,76 % 23,06 % 107,81 % 294,40 % 435,81 %
Active funds
Phoebus 21.01.2025 107,285 € -0,09 % 3,14 % 14,77 % 19,06 % 53,94 % 151,91 % 342,20 % 469,54 %
Family Business Fund 21.01.2025 43,649 € -0,04 % 4,06 % 17,98 % 17,87 % 44,82 % 69,40 % 175,54 % 255,53 %
Russian K 2 31.12.2021 128,1888 € -0,01 % -3,55 % 19,12 % 47,96 % 40,76 % 79,79 % 32,35 % -
Tropico LatAm 21.01.2025 13,620 € 0,12 % 4,91 % -17,05 % 2,68 % -30,76 % - - -
Balanced mixed
Pharos 21.01.2025 31,000 € 0,11 % 2,02 % 14,24 % 16,33 % 33,81 % 69,03 % 133,40 % 198,08 %
Fixed income
Euro-obligation 21.01.2025 3,737 € 0,24 % -1,03 % 2,33 % -12,26 % -12,20 % -2,88 % 33,22 % 60,80 %
Euro Corp. Bond 21.01.2025 19,888 € 0,10 % -0,58 % 4,01 % -5,12 % -5,60 % 2,23 % 31,85 % 59,26 %
Money market 21.01.2025 2,6576 € 0,01 % 0,21 % 3,52 % 6,78 % 6,17 % 5,90 % 10,41 % 28,20 %

1) Note! The figures for the OMXH25 ETF are presented including dividends.
2) Russian K-units (sold outside Finland, Sweden, and Norway). The NAV of this fund is published one Finnish banking day after the value date in question.
3) The "one month" return is calculated on the basis of fund performance for the latest 30 days.
4) The asset management of Emerging Markets mutual fund has moved to LocalTapiola on 1 December 2023, after which the NAV calculation frequency will be the same as with all other LocalTapiola mutual funds. The net asset value (NAV) will be calculated and published on the banking day that follows the NAV date.


Please note that information contained herein does not constitute an offer to sell any securities.

In particular, the information herein is not for distribution and does not constitute an offer to sell or the solicitation of any offer to buy any securities in the United States of America or for the benefit of United States persons.

The prices of shares and any income from them can go down as well as up and you may not get back the full amount invested. Past performance is not a guarantee to future returns. When an investment involves a foreign exchange transaction, it may be subject to fluctuations in currency value.