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eQ Europe Growth FundTrade times
| Please Note: Transactions to eQ Funds are available from Finnish pages Fund units can be redeemed and subscribed on every Finnish banking day. |
| Subscription notification must be made available and the subscription payment paid to the Fund Management Company by 18.00 on the subscription date. |
| Redemption notification must be made available to the Fund Management Company by 12.00 on the redemption date. |
Fees
| Subscription fee | 1,00 % |
| Redemption fee | 1,00 %, min. 20 € |
| Transfer fee | 50 % of redemption and subscription fee. The discount does not apply to the fees of eQ Real Estate and Index funds. |
| Management fee |
Series 1 K 1,5 % The management fee includes management and custody fees of underlying funds. |
| Fund contains other fees as well. Check KID. | |
Fund brochures and rules
Please contact asiakaspalvelu(at)eq.fi for brochures and rules.eQ Europe Growth Fund is an actively managed equity fund managed by eQ, investing primarily in European growth companies. The investment targets consist mainly of large and mid-sized companies. The selection of investments emphasizes strong historical business growth and positive future prospects.
The fund is classified as a financial product under Article 8 of the EU Sustainable Finance Disclosure Regulation (2019/2088). The objective of the fund’s investment activities is, among other characteristics, to promote environmental and social characteristics. In addition, it is required that the companies in which the fund invests follow good governance practices.
The fund’s benchmark index is the MSCI Europe Index (since 1 January 2018), which does not take sustainability risks or sustainability factors into account.
Investing in funds involves risk, and the value of investments may rise or fall depending on the performance of the fund’s investment targets. An investor may also lose part or all of the invested capital. Before making any final investment decisions, please familiarize yourself with the fund prospectus and the key information document.
Further information on the fund’s investment process, as well as the methods and criteria used to monitor the achievement of the investment objective, is described in the eQ Europe Growth Fund prospectus.
Fund Values
| Performance |
|---|
| 1 m | -4,82 % |
| 3 m | -1,41 % |
| Year to date | -1,92 % |
| 12 m | -13,30 % |
| 3 y p.a. | -0,37 % |
| Annual | 4,63 % |
| 2025 | -5,50 % |
| 2024 | 2,03 % |
| 2023 | 15,61 % |
| 2022 | -18,45 % |
| 2021 | 17,36 % |
| Volatility 12 months | 14,47 % |
Past performance is not a reliable indicator of future returns.