Investment objective

The fund is an exchange-traded index fund and its objective is to follow the performance of the Handelsbanken Nordic High Dividend Low Volatility Criteria Index (SEK) to attain returns that correspond as closely as possible to the returns of this index
Off-Hours Price
Change
YTD change
Weight
20.34EUR+0.99%+11.15%3.09%
347.90SEK+2.69%+8.35%2.97%
291.00NOK+2.72%+3.37%2.97%
68.35EUR-0.65%+7.38%2.96%
16.35EUR+3.15%+1.65%2.85%
315.10SEK+1.61%+6.49%2.79%
138.35SEK+2.63%+2.98%2.78%
258.60NOK+1.89%-14.37%2.72%
81.62CHF+0.42%+37.83%2.69%
In partnership with
TrackInsight
Date Price Change Volume
26-06-12 165.52 kr +1.07% 380,986
26-06-11 163.76 kr +0.16% 286,563
26-06-10 163.50 kr -0.06% 436,605
26-06-09 163.60 kr 0.00% 245,592
26-06-08 163.60 kr -0.41% 416,559

Delayed Quote Nasdaq Stockholm

Last update June 12, 2026 at 12:00 pm

Description

SE0009778954
Total Expense Ratio 0.30%
Asset Class Stocks
Currency
Provider
Underlying Handelsbanken High dividend Low Volatility Price Index - SEK
Autres ETFs

Features and characteristics

Dividend Policy Distribution
Replication Method Physique
Fund Structure
Date of creation
2017-03-30
Geographical Focus

AuM evolution - 2026-02-26

AuM (SEK) 18.16B
AuM 1M 15.45B
AuM 3 months 13.99B
AuM 6 months 12.9B
AuM 12 months 8.54B
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