
Monthly update SCFI March 2025
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

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

General The shares have been issued in connection with equity loans. The shares are therefore to be seen as co-ownership rights for taxation purposes. This means that generally the tax rules for

We apologize that no monthly newsletter has been published for January. Nothing dramatic has happened since the beginning of the year, but there has been a lot of work with annual reports, auditing

Scandinavian Credit Fund I AB (publ) reports a NAV price for December of 60.73. During December, 85 MSEK, corresponding to approximately 5% of the capital, was repaid according to

During December, a payment was made to the shareholders of SEK 85 million, corresponding to 5% of the fund's NAV, which means that the return during the month amounted to +0.94%.

Scandinavian Credit Fund I AB (publ) reports a NAV rate for November of 63.27, a decrease of -0.1 % since the previous month. The fund's managed capital amounts to
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