SEB Investment GmbH

Fund Company

SEB Investment GmbH - http://www.SEBAssetManagement.de
 

SEB is a leading Northern European financial group. Founded in 1856, SEB now has 17,000 employees in 20 countries. SEB offers a broad range of consulting services and financial solutions in Sweden and the Baltic region. In Denmark, Finland, Norway and Germany, SEB's focus lies on corporate clients and asset management.

On 31 December 2011, the Group's total assets amounted to SEK 2,363 billion (approximately EUR 265 billion) while its assets under management totalled SEK 1,261 billion (approximately EUR 142 billion). 

In Germany, the fund management company has a clearly structured offering comprising mutual and special funds complemented by client-specific investment solutions and asset management mandates. SEB Asset Management has positioned itself as a specialist for global real estate management and risk-adjusted investment concepts for European bonds, multi-assets strategies and European value shares.

Their approach to fixed-income, multi-asset and real estate investment is rooted in a total-return strategy designed for today's investing environment. They follow a fundamental value strategy to investing in equities. Selected local investment solutions and "Nordic" SEB Group specialties such as Danish mortgage bond funds, Scandinavian equity funds and Eastern European equity product round off the product range. The ability to consistently seize market opportunities while managing risk represents an integral component of their approach to investment management.

By combining global and local knowledge, SEB offers institutional and retail clients investment solutions with a broad range of risk/return profiles.

Their investment principles:

  • Clearly defined and transparent investment processes
  • Excellent risk management
  • High-quality advising and a focus on customers¬†


Their outstanding performance is also reflected in solid growth: With over 30 years experience on the German market, SEB Asset Management manages approximately EUR 17,4 billion in retail funds, special funds and tailored investment solutions.

Company

Fund Name

ISIN

Currency

Inception Date

Rating

Risk

Profile

SEB Investment GmbH

SEB Total Return Bond Fund

DE0008473414

EUR

15/08/1988

2

Low

N/A

SEB Investment GmbH

SEB Aktienfonds

DE0008473471

EUR

15/08/1988

2

Medium

The fund manager pursues a strict valuebased investment approach. With selective stock-picking and in line with the principle "think like an owner", the manager looks for favourably valued companies that create value in the long term and pay back the purchase price via future free cash flows.

SEB Investment GmbH

SEB Invest Zinsglobal

DE0008474313

EUR

24/10/1988

2

Medium

N/A

SEB Investment GmbH

SEB Europafonds

DE0008474388

EUR

02/10/1989

2

High

N/A

SEB Investment GmbH

SEB EuroCompanies

DE0009769208

EUR

31/03/1998

3

High

N/A

SEB Investment GmbH

SEB Real Estate Equity Global

DE000A0B7JG6

EUR

06/03/2006

1

Medium

The fund's objective is to invests at least 51% in shares of real estate companies. These are selected on the principle of risk diversification, taking into consideration their future prospects, stock market capitalisation and market liquidity. In addition, the fund can invest up to a maximum of 49% in fixed interest rate securities and up to a maximum of 49% in bank deposits. Furthermore, the fund's assets can be invested in money market instruments, investment units, derivatives and other financial instruments. Derivatives may be deployed for investment and hedging purpose. The market risk potential may not exceed 200% of the fund volume. The basis currency is the euro.