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Risk information

Past performance is not indicative of future results. The value of fund units/shares can rise as well as fall and you may not get back the amount you invested. Funds with a risk level of 5-7 according to the fund’s key information document (KID) can both decrease and increase significantly in value. Fund information, including the KID, prospectus, and sustainability-related disclosures can be found at Our Luxembourg funds.

Summary of investors' rights

The distributing unit classes with dividends in June have pay date on Tuesday 30 in June 2026. The dividends should be in customer accounts the week after.

Summary dividends SEB June 2026

Fund Unit class Currency ISIN Dividend rate Dividend value Date
SEB Credit Opportunity V ID (SEK) SEK LU2228910357 3.00% 37,7095 6/30/2026
SEB Credit Opportunity V HNWD (SEK) SEK LU2228909185 3.00% 37,3811

6/30/2026

SEB Credit Opportunity V HNWD (SEK) 5 MSEK SEK LU2228909425 3.00% 37,5497 6/30/2026
SEB Credit Opportunity V ID (H-EUR) EUR LU2228910605 3.00% 3,7467 6/30/2026
SEB Credit Opportunity V HNWD (H-EUR) EUR LU2228910431 3.00% 3,7179 6/30/2026
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