Notice to the unitholders of SEB Hybrid Capital Bond Fund
As of March 14, 2025, changes related to the SEB Hybrid Capital Bond Fund (SE0019892050) will enter into force. Unitholders are not required to act, as the changes will not have any effect on the unitholders or the value of their fund units, but they should be aware of the changes.
Unitholders who do not wish to continue investing in the sub-fund(s) may redeem their units free of charge by the March 11, 2025, at 14:00. Until the same time, fund saving standing orders for the purchase of these funds can be terminated.
Key Changes:
- Fund Manager’s Name Change: SEB Investment Management AB name will be from now on SEB Funds AB.
- Custodian’s Responsibilities: The description of the custodian's duties in the fund regulations is being updated to ensure alignment with Swedish law on securities funds and alternative investment funds.
- Fund Objectives: The descriptions of the funds’ objectives are being updated to better reflect their investment goals.
- Sustainability: A description of how the funds adhere to specific sustainability criteria and exclusion criteria for certain industries will be added.