[{"ISIN":"SE0010134288        ","ShortName":"CASEAS","Name":"Case All Star Småbolag","FundTypeOfficial":"Equity Funds","FundTypeOfficialSE":"Aktiefonder","FundTypeID":1,"MappingString":"CASEAS,CAR","DefaultIndex":"n/a","InstrType":"F","NAV":"172,60","Date":"2026-04-07","Ytd":"-12,67%","D1":"1,60%","D7":"2,05%","M1":"1,22%","M3":"-12,38%","M6":"-14,28%","Y1":"-1,81%","Y3":"12,57%","Y5":"23,30%","Y10":"n/a","FromStart":"72,60%","NavAdjusted":"172,60","RiskIndicator":"Medel 4 (skala 1-7)","PrevY1":"-1,12%","PrevY2":"18,48%","PrevY3":"17,09%","PrevY4":"-8,53%","PrevY5":"28,88%","PrevY6":"18,81%","StartDate":"2017-10-31","PpmFundNumber":"n/a","Fee":"1,50%","FundFacts":"n/a","RiskIndicatorID":"4","FactSheetUrl":null},{"ISIN":"SE0024738413        ","ShortName":"GAIAMCAP","Name":"Case Gaia Microcap","FundTypeOfficial":"Equity Funds","FundTypeOfficialSE":"Aktiefonder","FundTypeID":1,"MappingString":"GAIAMCAP","DefaultIndex":"n/a","InstrType":"F","NAV":"80,46","Date":"2026-04-07","Ytd":"-12,98%","D1":"0,78%","D7":"1,95%","M1":"2,82%","M3":"-12,05%","M6":"-14,16%","Y1":"n/a","Y3":"n/a","Y5":"n/a","Y10":"n/a","FromStart":"-19,54%","NavAdjusted":"80,46","RiskIndicator":"Medel 4 (skala 1-7)","PrevY1":"n/a","PrevY2":"n/a","PrevY3":"n/a","PrevY4":"n/a","PrevY5":"n/a","PrevY6":"n/a","StartDate":"2025-05-19","PpmFundNumber":"n/a","Fee":"1,80%","FundFacts":"Test","RiskIndicatorID":"4","FactSheetUrl":null},{"ISIN":"SE0017082514        ","ShortName":"CASE","Name":"Case Group AB","FundTypeOfficial":"Equity Funds","FundTypeOfficialSE":"Aktiefonder","FundTypeID":1,"MappingString":"CASE","DefaultIndex":"n/a","InstrType":"F","NAV":"20,40","Date":"2026-04-07","Ytd":"-14,29%","D1":"0,00%","D7":"-10,53%","M1":"-10,53%","M3":"-8,93%","M6":"-22,14%","Y1":"-93,81%","Y3":"n/a","Y5":"n/a","Y10":"n/a","FromStart":"-93,81%","NavAdjusted":"20,40","RiskIndicator":"N/A","PrevY1":"-92,78%","PrevY2":"n/a","PrevY3":"n/a","PrevY4":"n/a","PrevY5":"n/a","PrevY6":"n/a","StartDate":"2021-12-16","PpmFundNumber":"n/a","Fee":"n/a","FundFacts":"n/a","RiskIndicatorID":"n/a","FactSheetUrl":null},{"ISIN":"SE0000577272        ","ShortName":"PASA","Name":"Case Högutdelande Bolag A","FundTypeOfficial":"Equity Funds","FundTypeOfficialSE":"Aktiefonder","FundTypeID":1,"MappingString":"PASA,SIX","DefaultIndex":"n/a","InstrType":"F","NAV":"880,78","Date":"2026-04-07","Ytd":"1,34%","D1":"0,63%","D7":"1,47%","M1":"-0,12%","M3":"-0,34%","M6":"6,79%","Y1":"29,71%","Y3":"39,66%","Y5":"32,89%","Y10":"181,49%","FromStart":"1254,72%","NavAdjusted":"1354,72","RiskIndicator":"Medel 4 (skala 1-7)","PrevY1":"19,26%","PrevY2":"7,00%","PrevY3":"14,82%","PrevY4":"-25,38%","PrevY5":"39,15%","PrevY6":"13,23%","StartDate":"1998-10-02","PpmFundNumber":"n/a","Fee":"1,25%","FundFacts":"Case Högutdelande Bolag är en semiaktiv förvaltad fond som tar fram de bästa bolagen som över tid kan höja sin utdelning till aktieägarna. Att investera i Case Högutdelande Bolag är ett enkelt sätt att få exponering mot de bolag på Stockholmsbörsen som har den högsta direktavkastningen, vilken över tid är en viktig del av den totala avkastningen på en aktieinvestering. Ett bolag som kan dela ut en del av vinsten är i en mognare fas än ett bolag som behöver återinvestera alla vinster tillbaka i bolaget. Detta gör högutdelande bolag mer stabila än övriga vilket sänker risken mätt i volatilitet\r\n\r\nEn bra utdelningshistorik ofta ses som ett kvitto på att bolaget går med vinst samt att de inte behöver använda en så stor del av kassan för att driva företaget vidare.","RiskIndicatorID":"4","FactSheetUrl":null},{"ISIN":"SE0004951853        ","ShortName":"PASB","Name":"Case Högutdelande Bolag B","FundTypeOfficial":"Equity Funds","FundTypeOfficialSE":"Aktiefonder","FundTypeID":1,"MappingString":"PASB","DefaultIndex":"n/a","InstrType":"F","NAV":"4303,66","Date":"2026-04-07","Ytd":"1,35%","D1":"0,63%","D7":"1,47%","M1":"-0,12%","M3":"-0,32%","M6":"6,82%","Y1":"29,79%","Y3":"40,25%","Y5":"34,00%","Y10":"186,77%","FromStart":"330,37%","NavAdjusted":"4303,66","RiskIndicator":"Medel 4 (skala 1-7)","PrevY1":"19,33%","PrevY2":"7,22%","PrevY3":"15,05%","PrevY4":"-25,22%","PrevY5":"39,42%","PrevY6":"13,46%","StartDate":"2013-01-08","PpmFundNumber":"n/a","Fee":"1,25%","FundFacts":"Case Hållbar Sverige Index B är en indexfond som placerar i noterade bolag på Stockholmsbörsen. Fonden har som mål att spegla avkastningen av SIXRX-indexet, vilket är ett index viktat efter respektive bolags marknadsvärde och som består av alla bolag listade på OMXS och är beräknat inklusive utdelningar. Detta gör denna fond mer diversifierad än indexfonder som speglar OMXS30 och bara investerar i de 30 största bolagen på Stockholmsbörsen. ","RiskIndicatorID":"4","FactSheetUrl":null},{"ISIN":"SE0010662635        ","ShortName":"PASC","Name":"Case Högutdelande Bolag C","FundTypeOfficial":"Equity Funds","FundTypeOfficialSE":"Aktiefonder","FundTypeID":1,"MappingString":"PASC","DefaultIndex":"n/a","InstrType":"F","NAV":"166,76","Date":"2024-04-26","Ytd":"n/a","D1":"0,93%","D7":"0,89%","M1":"-1,13%","M3":"8,10%","M6":"21,31%","Y1":"11,06%","Y3":"5,92%","Y5":"58,40%","Y10":"n/a","FromStart":"66,76%","NavAdjusted":"166,76","RiskIndicator":"Medel 4 (skala 1-7)","PrevY1":"0,00%","PrevY2":"4,60%","PrevY3":"15,16%","PrevY4":"-25,14%","PrevY5":"39,50%","PrevY6":"13,58%","StartDate":"2018-09-26","PpmFundNumber":"838441","Fee":"1,15%","FundFacts":"n/a","RiskIndicatorID":"4","FactSheetUrl":null},{"ISIN":"SE0000577330        ","ShortName":"SEL","Name":"Case Småbolagsfond","FundTypeOfficial":"Equity Funds","FundTypeOfficialSE":"Aktiefonder","FundTypeID":1,"MappingString":"SEL,CAR","DefaultIndex":"n/a","InstrType":"F","NAV":"879,85","Date":"2024-08-30","Ytd":"n/a","D1":"1,45%","D7":"3,12%","M1":"1,66%","M3":"2,50%","M6":"19,84%","Y1":"39,40%","Y3":"-6,78%","Y5":"53,75%","Y10":"166,20%","FromStart":"1116,58%","NavAdjusted":"1216,58","RiskIndicator":"Medel 4 (skala 1-7)","PrevY1":"0,00%","PrevY2":"22,11%","PrevY3":"8,90%","PrevY4":"-31,20%","PrevY5":"28,09%","PrevY6":"16,84%","StartDate":"1998-02-16","PpmFundNumber":"n/a","Fee":"1,84%","FundFacts":"Case Småbolagsfond är en aktivt förvaltad fond med målsättningen att leverera en högre avkastning än genomsnittet bland de svenska småbolag som ingår i indexet Carnegie Small Cap Return. För att åstadkomma detta investerar fonden i en koncentrerad portfölj av noggrant utvalda svenska småbolagsaktier som förvaltarna anser är undervärderade. Analysprocessen bakom fondens investeringar baseras på Catellas fundamentalanalys och breda kunskap om svenska bolag. Fonden tillämpar negativ screening med avseende på hållbarhetskriterier, varför vi helt undviker positioner i företag som producerar tobak, alkohol, kommersiellt spel om pengar, pornografi, kol eller vapen.","RiskIndicatorID":"4","FactSheetUrl":null},{"ISIN":"SE0004723476        ","ShortName":"IMO","Name":"ICA MODIG","FundTypeOfficial":"Equity Funds","FundTypeOfficialSE":"Aktiefonder","FundTypeID":1,"MappingString":"IMO","DefaultIndex":"n/a","InstrType":"F","NAV":"408,46","Date":"2026-04-07","Ytd":"-0,60%","D1":"-0,01%","D7":"1,77%","M1":"-1,51%","M3":"-1,89%","M6":"1,08%","Y1":"20,73%","Y3":"34,09%","Y5":"37,84%","Y10":"170,79%","FromStart":"308,46%","NavAdjusted":"408,46","RiskIndicator":"Medel 3 (skala 1-7)","PrevY1":"4,80%","PrevY2":"19,66%","PrevY3":"13,78%","PrevY4":"-13,67%","PrevY5":"27,01%","PrevY6":"4,46%","StartDate":"2012-09-27","PpmFundNumber":"n/a","Fee":"0,95%","FundFacts":"n/a","RiskIndicatorID":"3","FactSheetUrl":null},{"ISIN":"SE0002949784        ","ShortName":"CRE","Name":"Case Credit Opportunity","FundTypeOfficial":"Alternative Funds","FundTypeOfficialSE":"Alternativa fonder","FundTypeID":0,"MappingString":"CRE,TRB","DefaultIndex":"n/a","InstrType":"F","NAV":"145,38","Date":"2026-04-07","Ytd":"-0,84%","D1":"0,11%","D7":"0,17%","M1":"-0,39%","M3":"-0,97%","M6":"-0,83%","Y1":"2,15%","Y3":"16,52%","Y5":"17,99%","Y10":"43,87%","FromStart":"45,38%","NavAdjusted":"145,38","RiskIndicator":"Låg 2 (skala 1-7)","PrevY1":"3,62%","PrevY2":"11,55%","PrevY3":"3,57%","PrevY4":"-4,33%","PrevY5":"6,72%","PrevY6":"1,49%","StartDate":"2014-11-24","PpmFundNumber":"n/a","Fee":"0,95%","FundFacts":"Celina Credit Opportunity är en dagligt handlad fond med målsättning att leverera god avkastning oavsett marknadsutvecklingen. Fonden investerar i huvudsak i nordiska räntebärande värdepapper. Fonden tillämpar negativ screening med avseende på hållbarhetskriterier, varför vi helt undviker långa positioner i företag som producerar tobak, alkohol, kommersiellt spel om pengar, pornografi, kol eller vapen. I förvaltningen används derivat för att skydda kapitalet såväl som att öka avkastningsmöjligheterna. Fonden förväntas, över tid, ha låg samvariation med aktiemarknaden och kan därmed både höja den förväntade avkastningen samt sänka den förväntade risken i en traditionell portfölj bestående av aktier och räntor. Vid portföljkonstruktionen läggs stor vikt vid riskspridning och att inget enskilt innehav eller enskild faktor ska ha för stor påverkan på fondens utveckling. Investeringarna baseras på fundamental analys av enskilda bolag samt traditionell makroanalys. Risknivån kommer att variera beroende på Catellas bedömning av rådande marknadsförutsättningar. Fondens mål är att generera en årlig avkastning på 3-5 % med en standardavvikelse understigande 5 %, över tid.","RiskIndicatorID":"2","FactSheetUrl":"https://www.catella.com/globalassets/documents/sweden-funds/faktablad/catella/3c_faktablad-catella-credit-opportunity-andelsklass-a-sek-220131.pdf"},{"ISIN":"SE0024788723        ","ShortName":"CASEELITE1","Name":"Case Elite One","FundTypeOfficial":"Mixed Funds","FundTypeOfficialSE":"Blandfonder","FundTypeID":3,"MappingString":"CASEELITE1","DefaultIndex":"n/a","InstrType":"F","NAV":"98,33","Date":"2026-03-31","Ytd":"-3,17%","D1":"-4,73%","D7":"-4,73%","M1":"-4,73%","M3":"-3,17%","M6":"n/a","Y1":"n/a","Y3":"n/a","Y5":"n/a","Y10":"n/a","FromStart":"-1,67%","NavAdjusted":"98,33","RiskIndicator":"Medel 4 (skala 1-7)","PrevY1":"n/a","PrevY2":"n/a","PrevY3":"n/a","PrevY4":"n/a","PrevY5":"n/a","PrevY6":"n/a","StartDate":"2025-01-10","PpmFundNumber":"n/a","Fee":"1,50%","FundFacts":"n/a","RiskIndicatorID":"4","FactSheetUrl":null},{"ISIN":"SE0001396110        ","ShortName":"BAL","Name":"Case Mix","FundTypeOfficial":"Mixed Funds","FundTypeOfficialSE":"Blandfonder","FundTypeID":3,"MappingString":"BAL","DefaultIndex":"n/a","InstrType":"F","NAV":"237,37","Date":"2026-04-07","Ytd":"-0,40%","D1":"0,10%","D7":"0,95%","M1":"-0,87%","M3":"-1,28%","M6":"0,66%","Y1":"12,86%","Y3":"21,70%","Y5":"21,83%","Y10":"65,66%","FromStart":"187,71%","NavAdjusted":"287,71","RiskIndicator":"Medel 3 (skala 1-7)","PrevY1":"4,96%","PrevY2":"11,85%","PrevY3":"7,82%","PrevY4":"-9,86%","PrevY5":"15,39%","PrevY6":"-1,58%","StartDate":"2005-05-02","PpmFundNumber":"n/a","Fee":"1,75%","FundFacts":"Case Mix är en bred fond-i-fond som investerar i ett urval av såväl Case egna som externa fonder. Fonden erbjuder aktiv taktisk allokering mellan aktie-, ränte- och hedgefonder. Fonden passar den som vill ha en aktivt förvaltad fondportfölj utan att själv behöva sköta de individuella fondinvesteringarna. I neutralläget är 50% av fondförmögenheten placerad i svenska och utländska aktiefonder, 20% i hedgefonder och resterande 30% i svenska räntefonder. Fondens faktiska sammansättning anpassas löpande efter Case bedömning av det aktuella marknadsläget. Risknivån i fonden är lägre än i aktiefonder och högre än i räntefonder.","RiskIndicatorID":"3","FactSheetUrl":null},{"ISIN":"SE0021147998        ","ShortName":"ICBRF","Name":"ICA BANKEN RÄNTEFOND","FundTypeOfficial":"Mixed Funds","FundTypeOfficialSE":"Blandfonder","FundTypeID":3,"MappingString":"ICBRF","DefaultIndex":"n/a","InstrType":"F","NAV":"110,63","Date":"2026-04-07","Ytd":"0,34%","D1":"0,04%","D7":"0,08%","M1":"-0,04%","M3":"0,27%","M6":"0,81%","Y1":"2,87%","Y3":"n/a","Y5":"n/a","Y10":"n/a","FromStart":"10,63%","NavAdjusted":"110,63","RiskIndicator":"Låg 2 (skala 1-7)","PrevY1":"3,19%","PrevY2":"5,99%","PrevY3":"n/a","PrevY4":"n/a","PrevY5":"n/a","PrevY6":"n/a","StartDate":"2023-05-12","PpmFundNumber":"n/a","Fee":"0,40%","FundFacts":"n/a","RiskIndicatorID":"2","FactSheetUrl":null},{"ISIN":"SE0004723468        ","ShortName":"IMA","Name":"ICA MATTLIG","FundTypeOfficial":"Mixed Funds","FundTypeOfficialSE":"Blandfonder","FundTypeID":3,"MappingString":"IMA","DefaultIndex":"n/a","InstrType":"F","NAV":"267,00","Date":"2026-04-07","Ytd":"-0,21%","D1":"0,03%","D7":"1,00%","M1":"-1,09%","M3":"-1,06%","M6":"0,93%","Y1":"13,48%","Y3":"26,73%","Y5":"30,89%","Y10":"102,56%","FromStart":"167,00%","NavAdjusted":"267,00","RiskIndicator":"Medel 3 (skala 1-7)","PrevY1":"4,50%","PrevY2":"15,23%","PrevY3":"10,14%","PrevY4":"-9,00%","PrevY5":"17,68%","PrevY6":"3,00%","StartDate":"2012-09-27","PpmFundNumber":"n/a","Fee":"0,75%","FundFacts":"n/a","RiskIndicatorID":"3","FactSheetUrl":null},{"ISIN":"SE0004723484        ","ShortName":"IVA","Name":"ICA VARLIG","FundTypeOfficial":"Mixed Funds","FundTypeOfficialSE":"Blandfonder","FundTypeID":3,"MappingString":"IVA","DefaultIndex":"n/a","InstrType":"F","NAV":"194,04","Date":"2026-04-07","Ytd":"-0,06%","D1":"0,07%","D7":"0,65%","M1":"-0,64%","M3":"-0,56%","M6":"0,80%","Y1":"8,82%","Y3":"21,60%","Y5":"24,92%","Y10":"63,86%","FromStart":"94,04%","NavAdjusted":"194,04","RiskIndicator":"Låg 2 (skala 1-7)","PrevY1":"4,74%","PrevY2":"11,80%","PrevY3":"7,45%","PrevY4":"-5,46%","PrevY5":"10,12%","PrevY6":"4,82%","StartDate":"2012-09-01","PpmFundNumber":"n/a","Fee":"0.50%","FundFacts":"n/a","RiskIndicatorID":"2","FactSheetUrl":null},{"ISIN":"SIXPRXM             ","ShortName":"SIXPM","Name":"SIXPRXM","FundTypeOfficial":"Index","FundTypeOfficialSE":"Index","FundTypeID":4,"MappingString":"SIXPM","DefaultIndex":"n/a","InstrType":"F","NAV":"3745,81","Date":"2023-04-19","Ytd":"n/a","D1":"-0,50%","D7":"1,15%","M1":"8,61%","M3":"4,19%","M6":"19,82%","Y1":"0,24%","Y3":"59,55%","Y5":"72,23%","Y10":"226,87%","FromStart":"606,82%","NavAdjusted":"3745,81","RiskIndicator":"N/A","PrevY1":"0,00%","PrevY2":"0,00%","PrevY3":"10,81%","PrevY4":"-22,77%","PrevY5":"39,34%","PrevY6":"14,83%","StartDate":"2005-01-03","PpmFundNumber":"n/a","Fee":"n/a","FundFacts":"n/a","RiskIndicatorID":"n/a","FactSheetUrl":null},{"ISIN":"SE0003723808        ","ShortName":"CASESP","Name":"Case Företagsobligationsfond Safe Play","FundTypeOfficial":"Fixed Income Funds","FundTypeOfficialSE":"Räntefonder","FundTypeID":2,"MappingString":"CASESP","DefaultIndex":"n/a","InstrType":"F","NAV":"165,52","Date":"2026-04-07","Ytd":"0,28%","D1":"0,09%","D7":"0,19%","M1":"-0,37%","M3":"0,17%","M6":"0,65%","Y1":"3,32%","Y3":"19,33%","Y5":"15,17%","Y10":"36,66%","FromStart":"65,52%","NavAdjusted":"165,52","RiskIndicator":"Låg 2 (skala 1-7)","PrevY1":"3,64%","PrevY2":"8,66%","PrevY3":"8,35%","PrevY4":"-9,17%","PrevY5":"5,67%","PrevY6":"1,73%","StartDate":"2011-01-03","PpmFundNumber":"n/a","Fee":"0,85%","FundFacts":"n/a","RiskIndicatorID":"2","FactSheetUrl":null},{"ISIN":"SE0015812185        ","ShortName":"CASESPB","Name":"Case Företagsobligationsfond Safe Play B","FundTypeOfficial":"Fixed Income Funds","FundTypeOfficialSE":"Räntefonder","FundTypeID":2,"MappingString":"CASESPB","DefaultIndex":"n/a","InstrType":"F","NAV":"165,75","Date":"2026-04-07","Ytd":"0,26%","D1":"0,09%","D7":"0,19%","M1":"-0,39%","M3":"0,14%","M6":"0,60%","Y1":"3,22%","Y3":"18,97%","Y5":"n/a","Y10":"n/a","FromStart":"14,77%","NavAdjusted":"165,75","RiskIndicator":"Låg 2 (skala 1-7)","PrevY1":"3,53%","PrevY2":"8,55%","PrevY3":"8,15%","PrevY4":"-9,16%","PrevY5":"n/a","PrevY6":"n/a","StartDate":"2021-04-12","PpmFundNumber":"n/a","Fee":"0,95%","FundFacts":"n/a","RiskIndicatorID":"2","FactSheetUrl":null},{"ISIN":"SE0001338674        ","ShortName":"CASEFP","Name":"Case Högräntefond","FundTypeOfficial":"Fixed Income Funds","FundTypeOfficialSE":"Räntefonder","FundTypeID":2,"MappingString":"CASEFP","DefaultIndex":"n/a","InstrType":"F","NAV":"204,35","Date":"2026-04-07","Ytd":"0,84%","D1":"0,13%","D7":"0,04%","M1":"-0,14%","M3":"0,71%","M6":"1,28%","Y1":"5,28%","Y3":"21,53%","Y5":"28,28%","Y10":"n/a","FromStart":"29,94%","NavAdjusted":"204,35","RiskIndicator":"Låg 2 (skala 1-7)","PrevY1":"5,77%","PrevY2":"8,83%","PrevY3":"9,59%","PrevY4":"-5,24%","PrevY5":"9,70%","PrevY6":"n/a","StartDate":"2020-01-01","PpmFundNumber":"n/a","Fee":"0,95%","FundFacts":"n/a","RiskIndicatorID":"2","FactSheetUrl":null},{"ISIN":"SE0020847275        ","ShortName":"CASEFPB","Name":"Case Högräntefond B","FundTypeOfficial":"Fixed Income Funds","FundTypeOfficialSE":"Räntefonder","FundTypeID":2,"MappingString":"CASEFPB","DefaultIndex":"n/a","InstrType":"F","NAV":"203,77","Date":"2026-04-07","Ytd":"0,87%","D1":"0,13%","D7":"0,04%","M1":"-0,13%","M3":"0,74%","M6":"1,33%","Y1":"5,24%","Y3":"n/a","Y5":"n/a","Y10":"n/a","FromStart":"18,20%","NavAdjusted":"203,77","RiskIndicator":"Låg 2 (skala 1-7)","PrevY1":"5,68%","PrevY2":"8,61%","PrevY3":"n/a","PrevY4":"n/a","PrevY5":"n/a","PrevY6":"n/a","StartDate":"2023-10-01","PpmFundNumber":"n/a","Fee":"0,85%","FundFacts":"n/a","RiskIndicatorID":"2","FactSheetUrl":null},{"ISIN":"SE0000577280        ","ShortName":"AVK","Name":"Case Räntefond Investment Grade","FundTypeOfficial":"Fixed Income Funds","FundTypeOfficialSE":"Räntefonder","FundTypeID":2,"MappingString":"AVK,X50","DefaultIndex":"n/a","InstrType":"F","NAV":"146,04","Date":"2026-04-07","Ytd":"0,27%","D1":"0,04%","D7":"0,07%","M1":"-0,07%","M3":"0,20%","M6":"0,68%","Y1":"2,64%","Y3":"12,71%","Y5":"10,80%","Y10":"15,51%","FromStart":"115,21%","NavAdjusted":"215,21","RiskIndicator":"Låg 2 (skala 1-7)","PrevY1":"2,95%","PrevY2":"5,79%","PrevY3":"5,20%","PrevY4":"-3,96%","PrevY5":"0,83%","PrevY6":"1,08%","StartDate":"1999-02-01","PpmFundNumber":"112755","Fee":"0,70%","FundFacts":"Case Räntefond Investment Grade är en räntefond med målsättning att uppnå stabil avkastning till låg risk. Fonden investerar i nordiska obligationer utgivna av företag och stater i. Tonvikten i investeringarna ligger i företag med högre kreditvärdighet, s k investment grade.  Fonden tillämpar negativ screening med avseende på hållbarhetskriterier, varför vi helt undviker långa positioner i företag som producerar tobak, alkohol, kommersiellt spel om pengar, pornografi, kol, olja eller vapen. I förvaltningen används derivat för att skydda kapitalet. Fondens avkastning kommer, över tid, ha samvariation med den nordiska obligationsmarknaden. Investeringarna baseras på fundamental analys av enskilda bolag och traditionell makroanalys. Fondens sammansättning avspeglar Case syn på förutsättningarna till avkastning i förhållande till risk avseende kredit- samt ränterisk.","RiskIndicatorID":"2","FactSheetUrl":null}]