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Distribution of new units in fixed income funds
New units have been distributed to unit holders in SKAGEN's fixed income funds based on their holdings as of 31 December 2017.
SKAGEN has distributed the units as of 31 December 2017 and they will be visible in your SKAGEN account on 2 January 2018. This will have an influence on the fund prices as of 2 January, which are adjusted downwards relative to the increase in the number of units.
All figures are in EUR. The figures were originally calculated in Norwegian kroner and converted to euros based on the foreign exchange rate as of 31 December 2017.
Unit holders' holdings will be updated accordingly by 3 January 2018.
Distribution in SKAGEN Tellus A
Distribution per unit: EUR 0.497337745
Reinvestment price: EUR 12.11617205
Units received per unit owned: 0.041047
Distribution in SKAGEN Avkastning
Distribution per unit: EUR 0.248745228
Reinvestment price: EUR 14.11742428
Units received per unit owned: 0.017620
Distribution in SKAGEN Credit EUR A
Distribution per unit: EUR 0.5357
Reinvestment price: EUR 8.2387
Units received per unit owned: 0.065022