OP-Conservative Fund
Aiming for a reasonable yield at a reasonable riskA fund suitable for beginning investors
OP-Conservative is a good fund for cautious investors and an ideal choice as your first fund, for example.
Avoid large value fluctuations
The fund mainly invests in the fixed income market, keeping value fluctuations more moderate.
Take advantage of owner-customer benefits
As an OP cooperative bank owner-customer you can buy and sell fund units free of charge, and your fund units earn you OP bonuses annually. The other fund costs are described in the Key Information Document.
Investing in mutual funds can be carefree
The fund’s underlying investments are carefully selected, the goal being to hedge against market fluctuations. OP-Conservative is a balanced fund that invests mainly in international fixed income markets but also in equity markets. As a rule, the more fixed income investments there are in a fund, the steadier its performance. Changes in equity and fixed income markets affect the fund's value performance. Most fund investments are made through other mutual funds. The fund's investments are widely diversified across developed and emerging markets.
A fund for conservative investors
OP-Conservative Fund is suitable for investors who seek a reasonable yield at a low risk. The fund’s investors can trust that professionals actively monitor market trends and take any required measures. This allows the investors to confidently focus on other matters.
You can make a one-off investment in the fund or choose a monthly investment plan from 10 euros per month. This fund is not recommended for investors who intend to redeem their units during the first two years. It is suitable for investors who are planning a holiday trip or buying new furniture, for example.
Subscription fee | Annual management fee | Redemption fee |
---|---|---|
0,00 % | 0,95 % | 0,50 % |
As an OP cooperative bank owner-customer you can buy and sell fund units free of charge, and your fund units earn you OP bonuses.
OP-Conservative Fund is a balanced fund investing its assets primarily in global fixed-income markets and partly in the global equity markets. In the base scenario, the fund invests 80% of its assets in the fixed-income markets and 20% in the equity markets. The proportion of fixed-income investments may range between 70-100% and equity investments between 0-30 %. The fund’s investments are primarily made through other funds.The fund may use derivatives instruments in its investment activities to hedge against market fluctuations, to replace direct investments and to otherwise promote efficient portfolio management. Primarily derivatives are used in equity and interest-rate risk management. The Fund diversifies its investments on a broad basis among various companies and bonds, since the investments are mainly implemented using funds.
The Fund promotes environmental and social characteristics and, to ensure it, uses environmental, social and governance (ESG) analysis and excludes certain investments. For more information about the ESG methods used, see the fund prospectus. The “do no significant harm” principle applies only to those investments underlying the fund that take into account the EU criteria for environmentally sustainable economic activities. The investments underlying the remaining portion of this fund do not take into account the EU criteria for environmentally sustainable economic activities.
The Fund’s benchmark index is a combination of several indexes. The composition of the benchmark index is described in the fund prospectus. With active investing, the Fund seeks to outperform its benchmark index in the long term. The Fund mainly takes notable active risk and it may differ significantly from the composition, weights and risk level of the benchmark index.
Read the portfolio manager's review on the fund's Finnish pages.
Read more about fund’s responsibility on the fund’s Finnish pages.
Basic data
- Fund manager
- Ville Pekkala
- Benchmark index
- Composite benchmark, see the fund Prospectus for details.
- Start date
- 11.06.2009
- ISIN
- FI0008814702
- fund serie
- Accumulation unit
- Fund size
- 654 Meur
- Serie value (12.11.)
- 141,78 EUR
- Monthly review
- Download
- Key Information Document
- Download
- Rules
- Download
- Sustainability data
- Download
Accumulated profit (11.11)
1mth | 3mth | 6mth | 1 y | 3 y p.a. | 5 y p.a. | |
---|---|---|---|---|---|---|
OP-Conservative A | +1,07 % | +3,54 % | +4,80 % | +12,27 % | −0,13 % | +1,27 % |
Benchmark | +1,01 % | +3,53 % | +5,24 % | +13,10 % | +0,39 % | +2,25 % |
Yearly performance
2019 | 2020 | 2021 | 2022 | 2023 | YTD | |
---|---|---|---|---|---|---|
OP-Conservative A | +8,71 % | +2,01 % | +3,66 % | −13,07 % | +7,97 % | +6,16 % |
Benchmark | +11,00 % | +5,12 % | +3,95 % | −14,13 % | +10,27 % | +7,23 % |
Key figures
Volatility 12 m | vola 12m | Sharpe 12 m | Duration | |
---|---|---|---|---|
OP-Conservative A | 3,86 % | - | - | |
Benchmark index | - | - | - |
As our owner-customer, saving and investing is especially worthwhile thanks to the excellent benefits you receive.
Your benefits when investing in funds or through insurance:
- Buy and sell almost all OP mutual funds with no fees.*
- You earn 0.35% OP bonuses from mutual fund and insurance assets.**
- Begin saving through insurance free of charge.
- Switch between investments, invest additional funds and change your payment and investment plan for OP Unit-linked Insurance and OP Capital Redemption Contract free of charge in our digital services.
Your benefits in equity and ETF investing:
- Open an equity savings account or book-entry account free of charge.
- You get a discount on equity trading and a 1% fee ceiling when trading in Finnish listed companies through a book-entry account The discounts apply in digital services.
- Get access to free stock picks and analysis.
- Get a discount on the service packages for savers and investors:
Equity savings account:
Saver: €0/month (normally €2.99/month)
Investor: €9.99/month (normally €14.99/month)
Book-entry account:
Saver: €0/month (normally €2.99/month)
Investor: €0/month (normally €5.39/month)
Other benefits:
- Only owner-customers can invest in Profit Shares.
Remember to make use of all benefits:
*Standard fees are charged for the following special common funds: OP-Public Services Real Estate, OP-Forest Owner, OP-Rental Yield, OP-Alternative Portfolio and OP-Private Equity.
**OP bonuses are automatically used to pay the bank’s service charges and insurance premiums. No OP bonuses are accrued from the R2 Crystal special common fund or institutional classes of funds. The following investment products linked to insurance assets do not accrue OP bonuses: JPM Russia A, JPM Emerging Europe Equity Fund, and BlackRock GF Emerging Europe Fund A. OP bonuses are accrued from unit-linked insurance policies, excluding Individual Unit-linked Insurance and Individual Capital Redemption Contracts.
This is an advertisement. The funds are managed by OP Fund Management Company Ltd. The portfolio manager is the portfolio management company specified in the fund prospectus for OP funds. Investments always involve risks. The value of investments can rise and fall, and the investor may lose part of or all the invested funds. Past performance is no guarantee of potential future yield. The larger the fund’s expenses, the greater the impact on the expected return on the investment. Any yield also depends on taxation, which in turn varies depending on the investor’s personal circumstances and is subject to future changes. If the fund is marketed outside Finland, OP Fund Management Company Ltd may decide to end such marketing. The information presented on this page does not fully describe all the fund’s characteristics.
Before making an investment decision, take all the characteristics or objectives of the fund into consideration, as described in the fund prospectus for OP funds and other documents related to the fund. Only make your final investment decision after reading the fund prospectus for OP funds and the key investor information document and rules of the fund. These documents can be found on the web page of the respective fund. The fund prospectus and the summary of investors’ rights in mutual funds are available at op.fi in Finnish, Swedish and English.