SEB Artificial Intelligence Fund

Fact sheet as of 18 April, 2024

Past performance does not guarantee future performance. The value of investment funds and other financial instruments may rise as well as fall and there is no guarantee you will recover your original investment. Key Information Document and prospectuses are available on www.sebgroup.lu/funds.

The fund is actively managed and invests globally, including in emerging markets, primarily in listed companies that enable the adaption and/or development of Artificial Intelligence (AI). The fund’s investment process is based on fundamental analysis, with a focus on identifying quality companies that are reasonably valued. The fund may invest up to 15 percent of its assets in the domestic Chinese market. The fund promotes sustainability-related properties via integrated sustainability analysis as part of investment decisions, and the exclusion of companies, business models, and products that are deemed to affect the climate, society, or stakeholders negatively. The fund’s active corporate governance process aims to drive and influence the development of companies in which the fund invests. For detailed information, see the fund’s Sustainability Information Document in the Prices & Facts section of our website. As the fund invests in securities that are issued in other currencies than the base currency of the fund, the return may be affected by changes in exchange rates.

INVESTMENT TEAM

The fund is managed by the fundamental global equities team, with Johan Söderström as lead portfolio manager. The Stockholm-based team has long, solid experience of fundamental equity management.

Performance (USD)

NAV: 9.59 USD (4/18/2024). AuM (M USD):164.30 (3/28/2024)
When calculating the returns the inflation is not taken into account

Return % USD

Accumulated
since
Fund Benchmark*
1 day -0.34 -0.30
1 month -3.58 -3.07
6 months 30.04 21.66
1 year 44.09 32.81
2 years 28.00 30.37
3 years 1.95 26.07
5 years 65.20 133.27
Year to date 11.57 7.16
Average annual growth
3 years 0.64 8.03
5 years 10.56 18.46

* Benchmark, including dividends

Largest positions1 Share  %

Microsoft 9.4
Alphabet 8.4
NVIDIA 8.1
Meta Platforms Inc 5.7
Taiwan Semiconductor Manufacturing 5.3
Amazon.com 4.0
Broadcom Inc 3.9
RELX PLC 3.5
Salesforce.com Inc 3.3
Adobe Systems 3.1
1Last updated 3/28/2024. Source: SEB

risk measures 1

Standard Deviation (Fund)28.2
Standard Deviation (Index)25.3
Tracking error5.82
Sharpe Ratio0.38
Information Ratio-0.25
Alpha-1.47
Beta1.10
Active share12.12
124 months rolling. Last updated 31 March, 2024
2Active share measures the difference between the fund’s and the benchmark’s holdings. From 3/28/2024

Other information

As of 29 June 2023, the fund changed name from SEB Technology Fund. As of 3 October 2022, the fund changed benchmark from MSCI World Information Technology Net Return Index and portfolio manager from BlackRock. As of 10 December 2020, BlackRock manages the fund. The index changed from MSCI World Information Technology Net Return Index. As of 21 December 2017 the funds has an amended investment process and a new fund manager. As of 2 November 2016, the fund´s Management company is SEB Investment Management AB. SEB works actively with sustainability and follows the UN Principles for Responsible Investments. Read more at www.sebgroup.com

SEB Artificial Intelligence Fund, 18 April 2024

Key Facts

Year of launch1993
Value at launch (USD)1.00
BenchmarkMSCI AC World Information Technology Net Return Index
Fund Management CompanySEB Investment Management AB
SRI scale 1-761
ISINLU0047324487
Base CurrencyUSD
Share ClassD (USD)
Morningstar rating
Turnover Ratio0.802
Use of derivativesYes3
1The value of the fund may vary substantially because of its composition and the portfolio management methods applied by the management company.
2From 3/28/2024
3Derivatives may be used to achieve investment objectives or for hedging.

Dividend

Distributing share class

Fund costs

Information on the fund's fees and expenses is available in the fund's key information document (KID) or the fund's prospectus

More information

Welcome to contact your financial advisor for more information or visit www.sebgroup.lu.

Important information

This material is prepared by SEB and contains general information regarding financial instruments marketed, sold or solicited by SEB. SEB is the global brand name for Skandinaviska Enskilda Banken AB (publ), its subsidiaries and affiliated companies. Neither this material nor the products described in it are intended for distribution or sale in the United States or to US persons, and any such distribution is not allowed. The offering of shares or units in the funds may also be restricted in other jurisdictions. This document may not be used to make an offer or solicitation with respect to the sale of shares or units where such an offer or solicitation is unlawful. Although the information in this material is based on sources deemed by SEB to be reliable, SEB assumes no liability whatsoever for incorrect or missing information or for any loss, damage or claim arising from the use of this material. Past performance does not guarantee future performance. The value of investment funds and other financial instruments may rise as well as fall and there is no guarantee you will recover your original investment. If you or a fund invests in financial instruments denominated in a foreign currency, changes in currency exchange rates can affect the return on the investment. SEB makes no representation that funds whose share or unit classes aim at hedging the fund’s return from changes in currency exchange rates will succeed in achieving this. Any tax information in this material is based on regulations valid as per the date of this presentation and may be subject to change. Note that any tax information in this material is general. Kindly contact your SEB investment advisor for tax and investment advice appropriate for your situation. You are fully and solely responsible for your investment decision. This material is not intended for or suitable as the sole basis for investment decisions. Instead, you should base your decision on the information in the fund’s product documentation, including its fact sheet, Key Information Document, fund regulations and prospectus. These are available on www.sebgroup.lu/funds. Saturday, April 20, 2024 2:17:31 AM