13 March 2026
Notice of changes in Nordea´s funds
The rules of Nordea's funds registered in Finland are changing
Our goal is to offer our customers high-quality and responsible investment products, which is why we continuously develop our fund selection. As part of this work, we are making changes to the rules of all Nordea investment funds domiciled in Finland. These adjustments are being made in response to a European regulatory initiative that requires all EU investment funds and alternative investment funds to adopt mandatory liquidity management tools.
Once implemented the funds may regulate large outflows from the funds (known as Redemption gating) and/or adjust the Net Asset Value price up or down depending on whether the fund experiences net inflows or net outflows that exceed a pre-determined threshold (known as Swing pricing). The liquidity management tools are designed for use during exceptional market conditions with the purpose of promoting fair treatment of unitholders and maintaining stability of the financial system.
The changes will take effect on [16] April 2026 and do not require any action from you as a unitholder.
Do you need more information?
Amended fund rules, key information documents, fund prospectus, and other additional information will be available at nordeafunds.com/fi on [16] April 2026.
If you have questions or want information about other investment alternatives, please contact Nordea customer service at 0200 70 000 Mon-Fri 8am-8pm, Sat-Sun 10am-4pm (local rates apply). You can reach us best by calling from mobile bank under Support > Call customer service. This way you are already authenticated.
Kind regards,
Nordea Funds Ltd
Josefin Degerholm
Managing Director