
Monthly update SCFI October 2024
Scandinavian Credit Fund I AB (publ) reports a NAV rate for October of 63.33, an increase of 1.67% since the previous month. The fund's managed capital amounts to

Scandinavian Credit Fund I AB (publ) reports a NAV rate for October of 63.33, an increase of 1.67% since the previous month. The fund's managed capital amounts to

Scandinavian Credit Fund I AB (publ) reports a NAV rate for September of 62.29, a decrease of -0.5587% since the previous month. The fund's managed capital amounts to

It is very unfortunate that the situation arose with an unclear message regarding amortization from the SCFI fund. What is written in July's monthly letter is that the amortization

Scandinavian Credit Fund I AB (publ) reports a NAV rate for August of 62.64, a decrease of -1.3854% since the previous month. The fund's managed capital amounts to

Scandinavian Credit Fund I AB (publ) reports a NAV rate for July of NAV 63.52, a decrease of -1.96%. The NAV course means a total change if

Scandinavian Credit Fund I AB (publ) reports a NAV rate for June of NAV 64.79, a decrease of -0.09%. The NAV course means a total change if
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