eQ Mandate

Trade 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.


Subscription fee 1,00 %
Redemption fee 1,00 %
Transfer fee 50 % of redemption and subscription fee (the discount does not apply to eQ real estate and index funds)
Management fee Series 1 K 0,7 % Series 2 K 0,0 %  Series specific management fee in addition to  standard management fees of the underlying investments
Fund contains other fees as well. Check KID.

Fund brochures and rules

Please contact asiakaspalvelu(at) for brochures and rules.

eQ Mandate Fund is an actively managed balanced fund that invests widely in the global equity and fixed income markets. The asset allocation is managed according to the views held by eQ. Investments are mainly made in other funds. The majority of the fund’s investments are actively managed funds classified as financial products according to Article 8 or 9 of the EU regulation on sustainability-related disclosures (2019/2088).

The fund is classified as a financial product according to Article 8 of the EU regulation on sustainability-related disclosures (2019/2088). The goal of the fund’s investment activities is to promote features related to the environment and to society in addition to other qualities. A further requirement is that the investee companies of the actively managed target funds comply with good governance.

The fund has no benchmark index.

Further information about the fund’s investment process and the methods and criteria used for monitoring the realisation of the goal of the investment activities, is described in eQ Mandate Fund’s fund prospectus.

Fund Values

eQ Mandate 1 K · eQ Mandate 2 K

1 m 0,86 %
3 m 2,01 %
Year to date 6,47 %
12 m 13,35 %
3 y p.a. 1,73 %
Annual 5,59 %
2023 11,90 %
2022 -13,81 %
2021 13,94 %
2020 4,11 %
2019 15,66 %
Volatility 12 months 4,63 %

Past performance is not a reliable indicator of future returns.