OP-Europe Fund
The OP-Europe Fund is a solid cornerstone of your portfolio, providing you access to the long-term return potential of some of Europe’s top-tier companies. The fund is an excellent choice for investors who accept risks typically associated with the stock market and are looking to invest in high-quality companies with positive prospects.
The actively managed fund's investment decisions are made by J.P. Morgan Asset Management, part of OP's global partner network and one of the world's most respected asset management companies. The OP-Europe Fund focuses on highly profitable quality companies; value companies whose shares are attractive compared to competitors and with long-term prospects, as well as on so-called momentum companies that benefit from improving economic prospects and positive news. The fund follows a systematic investment approach, and potential additions to the fund are thoroughly researched before purchasing shares. The fund’s experienced portfolio managers are supported in their company-level review by J.P. Morgan Asset Management's extensive team of analysts.
Sustainability steers the fund's investments. Industries deemed harmful to the environment or society, such as manufacturers of controversial weapons and companies whose turnover is mainly generated from coal production, are excluded from investments. We also monitor how the investee companies are governed.
Why invest in the OP-Europe Fund?
- A professional selection of high-quality European companies
- Investment decisions are made by J.P. Morgan Asset Management's experienced portfolio management team
- Sustainability factors guide the fund's composition
The portfolio manager's review is available on the fund's Finnish pages.
Basic data
- Fund manager
- JPMorgan Asset Management (Europe) S.à r.l.
- Benchmark index
- MSCI Europe Total Return Net Index
- Start date
- 29.05.2020
- ISIN
- FI4000439773
- fund serie
- Accumulation unit
- Fund size
- 88 Meur
- Serie value (11.12.)
- 205,04 EUR
- Monthly review
- Download
- Key Information Document
- Download
- Rules
- Download
- Sustainability data
- Download
- Prospectus
- Download
Accumulated profit (11.12)
| 1mth | 3mth | 6mth | 1 y | 3 y p.a. | 5 y p.a. | |
|---|---|---|---|---|---|---|
| OP-Europe A | +1,49 % | +4,46 % | +8,52 % | +26,57 % | +16,97 % | +13,91 % |
| Benchmark | +1,00 % | +6,88 % | +10,77 % | +25,65 % | +17,12 % | +14,96 % |
Yearly performance
| 2020 | 2021 | 2022 | 2023 | 2024 | YTD | |
|---|---|---|---|---|---|---|
| OP-Europe A | +8,87 % | +23,39 % | −6,77 % | +17,78 % | +8,00 % | +28,72 % |
| Benchmark | +9,83 % | +21,82 % | −1,08 % | +15,60 % | +11,18 % | +27,66 % |
Key figures
| Volatility 12 m | vola 12m | Sharpe 12 m | Duration | |
|---|---|---|---|---|
| OP-Europe A | 15,33 % | - | - | |
| Benchmark index | - | - | - |
This is a marketing communication. OP Fund Management Company Ltd and OP Asset Management Ltd have prepared this material as background information. The information presented in the material is based on sources that the authors consider reliable. However, the authors cannot guarantee that the provided information or opinions are correct or complete. This material is not intended to provide, and cannot be regarded as, a comprehensive and complete description of the product and the risks involved. Although the material has been prepared with care, and the aim has been to ensure that all the presented information is accurate, the authors and their employees assume no responsibility for the content of the material, and no decisions or agreements should be made based on it.
This material does not include a binding offer or proposal to buy or subscribe for a fund unit, nor does the material or its content form a basis for any agreement or commitments.
OP Pohjola's mutual funds are managed by OP Fund Management Company Ltd, which is a fund management company and alternative investment fund manager licensed by the Finnish Financial Supervisory Authority. The portfolio manager of OP Pohola's mutual funds 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 does not predict future returns. The potential future performance is subject to taxation which depends on the personal situation of each investor and which may change in the future. If the mutual fund is marketed outside Finland, OP Fund Management Company Ltd may decide to end such marketing. Before making an investment decision, take all the characteristics or objectives of the fund into consideration, as described in the fund prospectus for OP Pohjola funds and other documents related to the mutual fund. Only make your investment decision after reading the mutual fund's Key Information Document, the funds prospectus, and the rules of the fund. These are available from your asset manager or at op.fi/all-funds. The main risks associated with mutual funds can be found in the Key Information Document, and a more detailed list of risks is presented in the funds prospectus. A summary of investors' rights can be found at op.fi/fund-publications. These documents are available in Finnish, Swedish and English. Copying, publishing or distributing this material to a third party in full or in part is not permitted without written permission from OP. By accepting this material, you agree to follow the instructions and restrictions above.
This material is a translation. If there are any discrepancies between the translation and the original Finnish material, the Finnish material shall prevail.
