OP-Conservative Fund

 

The OP-Conservative fund is suitable for investors who wish to avoid risks and a great choice as a first investment fund, for example. The fund invests in international income and stock markets, with the majority of assets allocated to fixed income products that provide stability to the portfolio. As as an owner-customer, you can buy, sell and switch OP-Conservative fund units without fees.

Our experienced portfolio management team at OP Asset Management actively follows markets and makes investment decisions on your behalf, allowing you to focus on the things that matter most to you. Under normal conditions, about 80% of the fund's assets are invested in fixed income markets and the rest in stocks. Fixed income products protect your investment against market swings and stock investments increase the fund's expected return. The fund's investments are made mostly through other funds, giving you global diversification with a single product.

Sustainability guides the fund's investments. Because of this, companies categorized as harmful to the environment or society will be ineligible for the fund. These can include producers of thermal coal and manufacturers of controversial weapons, among others. We also screen the fund's investments regularly to ensure compliance with international norms related to anti-corruption and taxation, for example.

Why invest in the OP-Conservative fund?

  • Excellent choice for risk-averse investors who want to build wealth to fund future purchases, for example
  • You get a globally diversified and professional portfolio that focuses on stable fixed income investments
  • The fund's investment decisions take impacts on the environment and society into consideration
Subscription fee Annual management fee Redemption fee
0,00 % 0,95 % 0,50 %

As an OP cooperative bank owner-customer you can buy and sell fund units free of charge, and your fund units earn you OP bonuses.

Basic data, performance and fact figures

This is an advertisement. The funds are managed by OP Fund Management Company Ltd. The portfolio manager is the portfolio management company specified in the fund prospectus for OP funds. Investments always involve risks. The value of investments can rise and fall, and the investor may lose part of or all the invested funds. Past performance is no guarantee of potential future yield. The larger the fund’s expenses, the greater the impact on the expected return on the investment. Any yield also depends on taxation, which in turn varies depending on the investor’s personal circumstances and is subject to future changes. If the fund is marketed outside Finland, OP Fund Management Company Ltd may decide to end such marketing. The information presented on this page does not fully describe all the fund’s characteristics.

Before making an investment decision, take all the characteristics or objectives of the fund into consideration, as described in the fund prospectus for OP funds and other documents related to the fund. Only make your final investment decision after reading the fund prospectus for OP funds and the key investor information document and rules of the fund. These documents can be found on the web page of the respective fund. The fund prospectus and the summary of investors’ rights in mutual funds are available at op.fi in Finnish, Swedish and English.