This list is an analysis based on recent market events. It's not an investment recommendation.
About
Danske Invest Danmark is an actively managed equity fund under the stewardship of Danske Invest Management A/S. Its primary goal is to achieve sustained long-term capital appreciation for its investors. The fund accomplishes this by allocating capital to a diversified selection of Danish companies publicly listed on the Nasdaq Copenhagen exchange. The investment team conducts thorough fundamental analysis, aiming to identify enterprises with robust business models, experienced leadership, and either strong growth potential or attractive valuations. As a distributing fund, it is designed to provide annual payouts to its investors. Additionally, it is designated an Article 8 fund under the SFDR, demonstrating its commitment to promoting environmental and social characteristics.
What is Danske Invest Danmark KL DKK d stock price today?▼
The current price of DK0010252873.FUND is kr145.60 DKK — it has decreased by -0.1% in the past 24 hours. Watch Danske Invest Danmark KL DKK d stock price performance more closely on the chart.
What is Danske Invest Danmark KL DKK d stock ticker?▼
Depending on the exchange, the stock ticker may vary. For instance, on Funds exchange Danske Invest Danmark KL DKK d stocks are traded under the ticker DK0010252873.FUND.
Is Danske Invest Danmark KL DKK d stock price growing?▼
DK0010252873.FUND stock has fallen by -0.17% compared to the previous week, the month change is a +4.56% rise, over the last year Danske Invest Danmark KL DKK d has showed a +11.33% increase.
Does Danske Invest Danmark KL DKK d pay dividends?▼
Yes, DK0010252873.FUND dividends are paid annual. The last dividend per share was 10 DKK. As of today, Dividend Yield (FWD)% is 7.27%.
In which sector is Danske Invest Danmark KL DKK d located?▼
Danske Invest Danmark KL DKK d operates in the Other sector.
When did Danske Invest Danmark KL DKK d complete a stock split?▼
Danske Invest Danmark KL DKK d has not had any recent stock splits.