The OP-Brave fund is a fitting for investors seeking attractive returns who have the patience to tolerate moderate fluctuations in the value of their holdings. The fund invests in international equity and bond markets, with the majority of investments directed towards equities.
The fund is actively managed. Its investment decisions are made by OP Asset Management's experienced portfolio management team, which monitors the markets on your behalf and responds to changes. In the default allocation, approximately 80 percent of investments are directed towards equities, with the remainder allocated to stabilizing bond products such as government bonds. As a result, OP-Brave carries a slightly lower risk level than a pure equity fund. However, given the high equity weighting, the fund’s unit value can still fluctuate significantly. Investments are primarily made through other funds, enabling broad international diversification.
Sustainability guides the fund's investment decisions. Because of this, companies categorized as harmful to the environment or society are excluded from investments. These can include producers of thermal coal and manufacturers of controversial weapons, among others. We also regularly screen the fund's investments to ensure compliance with international norms related to anti-corruption and taxation, for example.