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Costs in SKAGEN's funds

In SKAGEN, payments are made on the basis of how well we succeed in managing our funds, not through the purchase and sale of our funds.

Costs*

Subscription in equity and fixed income funds 0%
Transfer of units between SKAGEN's funds 0%
Redemption 0%

*Applicable when subscribing directly from SKAGEN. Some partners may charge a subscription fee.

Annual management fee for SKAGEN Vekst A

Fixed annual management fee:

Fixed management fee 1% per annum, calculated daily and charged quarterly (includes management, distribution, fixed deposit costs, etc.).

Variable management fee:

Better value development than 6% per annum, calculated daily, is shared 90/10 between the unit holders and the management company. Charging of variable management fee annually on 31 December. A charge of the variable management fee may solely be made if the unit value as at December 31st exceeds the unit value at the previous charge/settlement of the variable management fee (the high watermark).

Annual management fee for SKAGEN Global A

Fixed annual management fee:

1% fixed annual management fee, calculated daily and charged quarterly (includes management, distribution, fixed deposit costs, etc.).

Variable management fee:

Better value development measured in percent in the fund's asset value compared with the benchmark index, is shared 90/10 between the unit holders and the management company. Thus, the fund may be charged a variable management fee even if the fund's return has been negative, as long as the fund has had a better value development than its benchmark index. In the opposite case, the fund may have a positive return without being charged a variable management fee, if the value development measured in percent has not been better than the benchmark. The variable management fee is calculated daily and charged annually.

Annual management fee for SKAGEN Kon-Tiki A

Fixed annual management fee:

2 % fixed annual management fee. Calculated daily and charged quarterly (includes management, distribution, fixed deposit costs, etc.).

Variable management fee:

Better value development measured in percent in the fund's asset value compared with the benchmark index, is shared 90/10 between the unit holders and the management company.

However, the total annual management fee charged may not exceed 4 % of the fund's average annual asset value.

If the fund's asset value shows a poorer development measured in percent than the benchmark index, 10 % of the poorer value development is deducted from the fixed management fee. However, the total annual management fee charged may not be lower than 1 % of the fund's average annual asset value.

The variable management fee is calculated daily and charged annually.

Annual management fee for SKAGEN Focus A

Fixed annual management fee:

Fixed annual management fee of 1.6 % calculated daily and charged on a quarterly basis (includes management, distribution, fixed deposit costs, etc.).

Variable management fee:

Better/worse value development measured in percent in the fund's asset value compared with the benchmark index, is shared 90/10 between the unit holders and the management company. The total management fee charged constitutes a maximum of 3.2 % and a minimum of 0.80 % per year. In case of a percentually poorer value development in the net asset value per unit than the benchmark index, the management company will deduct 10 % of this difference from the management fee. The overall management fee may not be lower than 0.80 % of the fund's average annual assets under management, however.

The variable management fee is calculated daily and charged on an annual basis.

 

Historical returns are no guarantee for future returns. Future returns will depend, inter alia, on market developments, the fund manager’s skills, the fund’s risk profile and management fees. The return may become negative as a result of negative price developments. There is risk associated with investing in funds due to market movements, currency developments, interest rate levels, economic, sector and company-specific conditions. The funds are denominated in NOK. Returns may increase or decrease as a result of currency fluctuations. Prior to making a subscription, we encourage you to read the fund's prospectus and key investor information document which contain further details about the fund's characteristics and costs. The information can be found on www.skagenfunds.com. Storebrand Asset Management administers the SKAGEN funds which are by agreement managed by SKAGEN's portfolio managers.

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