OP-World Index II A
One investment, global diversificationOP-World Index is offers a cost-efficient way of diversifying your assets into global equity markets. Thanks to its low fees, OP-World Index is an excellent choice for long-term investment. Investing in index funds requires some investment knowledge, because you should be able to assess your own risk tolerance. When determining the amount to invest in an index fund, think whether you would also be ready to tolerate an equivalent amount of price volatility in the equity market.
- The fund's investments are selected based on its globally diversified benchmark index, MSCI World ESG Screened.
Subscription fee | Annual management fee | Redemption fee |
---|---|---|
0,00 % | 0,20 % | 0,00 % |
The minimum subscription amount for OP-World Index is 100,000 euros. Class II does not generate OP bonuses.
OP-World Index invests its assets globally in advanced markets and the investor's portfolio will thereby get a solid base steadily following global economic prospects. OP-World Index suits investors hunting for high returns, but it also requires risk tolerance and willingness to follow market events and manage the investment accordingly. Here the portfolio manager's role mainly consists of cost-efficient execution of the fund according to the index.
OP-World Index offers a good diversification method for anyone's investment portfolio. Thanks to their low fees and high expected return in the long term, index funds can well complement other investments in the portfolio of, say, a long-term saver or pension saver. OP-World Index is recommended primarily in a situation where redemption of units would occur after seven years at the earliest.
OP-World Index is a passive index fund that invests assets according to the MSCI World ESG Universal Net Index in large listed companies diversified on a global basis. This means that the fund’s investments are split between the countries and businesses of the benchmark index in the same proportion as in the index.
Since the fund aims to generate the same returns as the benchmark index, it only keeps a small portion in cash for the purposes of redemptions. In order to lower its trading needs arising from redemptions and subscriptions, the fund may to a limited extent use derivative instruments in portfolio management.
Since the fund’s assets are invested in large-cap stocks, its investments can be highly concentrated on certain sectors, such as finance and industry.
The fund’s trading costs are relatively low as changes to the portfolio are basically only made once a year in conjunction with index adjustments.
The Fund is a passive index fund. It promotes environmental and social characteristics by using an index based on environmental, social and governance (ESG) analysis while excluding certain investments.
Negative screening: As the Fund is a passive index fund, the Fund manager cannot make individual exclusion decisions. The Fund is based on an index which excludes companies with connections to the production of controversial weapons. The index also excludes companies which have violated international standards (UN Global Compact and OECD guidelines for multinationals) and companies which have committed very severe ESG violations.
Use of ESG data in the investment analysis: The benchmark index considers companies’ ESG rating and emphasises companies with better ESG ratings.
Shareholders’ meetings: The Fund votes in shareholders’ meetings through a service provider in line with OP Fund Management Company Ltd’s shareholder engagement principles that take responsibility aspects into account.
Assessing good governance: The Fund is based on the MSCI ESG Universal Index, using both the MSCI ESG Rating and the MSCI ESG Rating Trend data and gives weight to those companies with better ratings. The level of corporate governance is included in the ESG Rating.
Basic data
- Fund manager
- OP Asset Management Ltd
- Benchmark index
- MSCI World ESG Screened Index
- Start date
- 29.09.2017
- ISIN
- FI4000261151
- fund serie
- Institutional accumulation unit
- Fund size
- 1391 Meur
- Serie value (04.12.)
- 241,85 EUR
- Monthly review
- Download
- Key Information Document
- Download
- Rules
- Download
- Sustainability data
- Download
Accumulated profit (04.12)
1mth | 3mth | 6mth | 1 y | 3 y p.a. | 5 y p.a. | |
---|---|---|---|---|---|---|
OP-World Index A | +9,56 % | +14,40 % | +16,69 % | +34,06 % | +12,17 % | +14,22 % |
Benchmark | +9,59 % | +14,47 % | +16,82 % | +34,27 % | +12,17 % | +14,20 % |
Yearly performance
2019 | 2020 | 2021 | 2022 | 2023 | YTD | |
---|---|---|---|---|---|---|
OP-World Index A | +29,91 % | +5,56 % | +31,92 % | −12,97 % | +20,17 % | +30,28 % |
Benchmark | +30,02 % | +5,63 % | +31,93 % | −13,29 % | +20,16 % | +30,52 % |
Key figures
Volatility 12 m | vola 12m | Sharpe 12 m | Duration | |
---|---|---|---|---|
OP-World Index A | 12,06 % | - | - | |
Benchmark index | - | - | - |
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.