
Monthly update SCFI August 2025
Scandinavian Credit Fund I AB (publ) reports a NAV price for August of 55.42, which is a decrease of -4.17% during the month. The fund's managed assets amount to
Scandinavian Credit Fund I AB (publ) reports a NAV price for August of 55.42, which is a decrease of -4.17% during the month. The fund's managed assets amount to
Scandinavian Credit Fund I AB (publ) reports a NAV price for June of 57.83, which is an increase of +1.74% during the month. The fund's managed capital amounts to
Scandinavian Credit Fund I AB (publ) reports a NAV price for June of 56.84. In total, assets have decreased by approximately -1.50% since the previous month. The fund's managed
Scandinavian Credit Fund I AB (publ) reports a NAV price for March of 57.71. In total, assets have decreased by approximately -0.85% since the previous month. The fund's managed
Scandinavian Credit Fund I AB (publ) reports a NAV price for March of 58.21. In total, assets have decreased by approximately -1.15% since the previous month. The fund's managed
Scandinavian Credit Fund I AB (publ) reports a NAV price for March of 59.79. In total, assets have decreased by approximately -1.52% since the previous month. The fund's managed
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