You as an investor are not required to act due to these changes, but we wish to make you familiar with them. This changes will not have a negative impact on you as an investor in terms of fees or risk profile of the funds.
Changes to the SEB Alternative Strategies SICAV umbrella prospectus
We have updated the taxonomy wording in order to meet recent regulatory developments.
Taxonomy update for SEB Alternative Strategies SICAV - SEB Active Owners Impact Fund
As SEB Alternative Strategies SICAV - SEB Active Owners Impact Fund falls within the scope of Article 9 of SFDR, we have added more information regarding the taxonomy wording of the Sub-Fund.
Change in frequency of NAV calculation for SEB Alternative Strategies SICAV - SEB Credit Opportunity V
The NAV was previously calculated on a quarterly basis but will now be calculated on a daily (bank day) basis.
The updated prospectuses are available at https://sebgroup.lu/ and our registered office.
SEB Investment Management AB, Luxembourg Branch
Past performance does not guarantee future performance. The value of investment funds and other financial instruments may rise as well as fall and there is no guarantee you will recover your original investment. The funds are classified as higher risk funds and may, due to their composition and management methods, fall or rise sharply in value. Key investor information documents and prospectuses are available on www.sebgroup.lu/funds.