News and press releases
News
Dividend amount in XACT Nordic High Dividend Low Volatility (UCITS ETF) (November)
The dividend amount of the above stated Exchange Traded Fund is SEK 6.88 per fund unit. SEK 1.72 will be distributed in March, May, September and in November.
Registered holder of fund units on the record day will receive dividend.
The schedule for the dividend is as follows:
Dividend 4 – SEK 1.72
- November 11 Last day to trade fund units including the right to receive dividend
- November 12 Ex-dividend; the fund units are traded ex dividend
- November 13 Record day
- November 18 Payment day
Closed primary market for XACT Nordic High Dividend Low Volatility
Closed primary market for XACT Nordic High Dividend Low Volatility
The market for issuing and redeeming fund units (primary market) in XACT Nordic High Dividend Low Volatility will be closed on November 11 and 12 due to dividend. Please observe that the secondary market is open.
Dividend amount in XACT Nordic High Dividend Low Volatility (UCITS ETF) (September)
The dividend amount of the above stated Exchange Traded Fund is SEK 6.88 per fund unit. SEK 1.72 will be distributed in March, May, September and in November.
Registered holder of fund units on the record day will receive dividend.
The schedule for the dividend is as follows:
Dividend 3 – SEK 1.72
- September 9 Last day to trade fund units including the right to receive dividend
- September 10 Ex-dividend; the fund units are traded ex dividend
- September 11 Record day
- September 16 Payment day
Changed fund regulations in XACT Norden (UCITS ETF)
We will be changing the fund rules for XACT Norden on 14 June 2024.
Change to index provider and index
The fund will be switching to an index that consists of the 50 largest and most-traded companies in the Nordic stock exchanges, as compared to the previous index that consisted of the 30 largest and most traded Nordic companies. As a result of this change, the fund will have a somewhat broader diversification of risk
Dividend amount in XACT Nordic High Dividend Low Volatility (UCITS ETF) (May)
The dividend amount of the above stated Exchange Traded Fund is SEK 6.88 per fund unit. SEK 1.72 will be distributed in March, May, September and in November.
Registered holder of fund units on the record day will receive dividend.
The schedule for the dividend is as follows:
Dividend 2 – SEK 1.72
- May 21 Last day to trade fund units including the right to receive dividend
- May 22 Ex-dividend; the fund units are traded ex dividend
- May 23 Record day
- May 28 Payment day
Dividend amount in XACT Nordic High Dividend Low Volatility (UCITS ETF) (November)
The dividend amount of the above stated Exchange Traded Fund is SEK 6.68 per fund unit. SEK 1.67 will be distributed in March, May, September and in November.
Registered holder of fund units on the record day will receive dividend.
The schedule for the dividend is as follows:
Dividend 4 – SEK 1.67
- November 13 Last day to trade fund units including the right to receive dividend
- November 14 Ex-dividend; the fund units are traded ex dividend
- November 15 Record day
- November 20 Payment day
Press releases
Annual report 2023 – Exchange-traded fund managed by Handelsbanken Fonder AB
The annual report for the following exchange-traded fund have been completed for the full-year 2023. The report is available on the Management Company’s websites at xact.se and handelsbanken.se/en/personal/savings/mutual-funds/fund-reports.
• XACT OMXC25 (UCITS ETF)
For additional information please contact: Magdalena Wahlqvist Alveskog, CEO Handelsbanken Fonder AB, telephone: 08-701 10 00
Handelsbanken Fonder AB is required to disclose this information pursuant to the Issuer Rules of Nasdaq Stockholm and Nasdaq Copenhagen Issuers rules. The information is provided for disclosure through the initiative of the aforementioned contact person on June 5, 2024 at 8:00 CET. For additional information on Xact and Handelsbanken, please refer to: www.xact.se/news and www.handelsbanken.se/.
New Chairman of the Board for Handelsbanken Fonder AB
Stockholm 28 March 2024
Daniel Andersson has been appointed as a new Board member and Chairman of the Board for Handelsbanken Fonder AB. He succeeds Anna Possne.
Daniel Andersson is currently Head of the Products and Offerings business area but will assume the position as Head of the Savings and Financing business area within Handelsbanken, under which Handelsbanken Fonder is included, on 1 April 2024.
For further information, please contact:
Staffan Ringvall, Head of Corporate Governance, +46 (0) 70 291 56 97 Handelsbanken’s Media Relations, +46 (0) 8 701 80 18
This information is made public by Handelsbanken Fonder AB in its capacity as manager of exchangetraded funds (so-called ETFs), pursuant to the Issuer Rules of Nasdaq Stockholm and Nasdaq Copenhagen, respectively. The information was submitted for publication through the agency of the contact person set out above, at 08:00 CET on 28 March 2024.
For more information about Handelsbanken, see: www.handelsbanken.com
For more information about Handelsbanken Fonder, see: www.handelsbankenfonder.se and www.xact.se
Dividend amount in XACT Sverige (UCITS ETF)
The dividend amount of the above stated Exchange Traded Fund is SEK 23.87 per fund unit.
Registered holder of fund units on the record day will receive dividend.
The schedule for the dividend is as follows:
- June 10 Last day to trade fund units including the right to receive dividend
- June 11 Ex-dividend; the fund units are traded ex dividend
- June 12 Record day
- June 17 Payment day
The above applies unless otherwise published. For further information, please contact: Stefan Hagman, Handelsbanken Fonder AB: +46 70 – 611 18 68
This information is of the type that Handelsbanken Fonder AB is obliged to make public pursuant to Nasdaq Stockholm's Issuer Rules. The information was submitted for publication through the agency of the contact person set out above, at 12:30 CET on 9 February 2024.
For more information about Handelsbanken, see: www.handelsbanken.com and www.xact.se/en
Dividend amount in XACT Nordic High Dividend Low Volatility (UCITS ETF)
The dividend amount of the above stated Exchange Traded Fund is SEK 6.88 per fund unit. SEK 1.72 will be distributed in March, May, September and in November.
Registered holder of fund units on the record day will receive dividend.
The schedule for the dividend is as follows:
Dividend 1 – SEK 1.72
- March 11 Last day to trade fund units including the right to receive dividend
- March 12 Ex-dividend; the fund units are traded ex dividend
- March 13 Record day
- March 18 Payment day
Dividend 2 – SEK 1.72
- May 21 Last day to trade fund units including the right to receive dividend
- May 22 Ex-dividend; the fund units are traded ex dividend
- May 23 Record day
- May 28 Payment day
Dividend 3 – SEK 1.72
- September 9 Last day to trade fund units including the right to receive dividend
- September 10 Ex-dividend; the fund units are traded ex dividend
- September 11 Record day
- September 16 Payment day
Dividend 4 – SEK 1.72
- November 11 Last day to trade fund units including the right to receive dividend
- November 12 Ex-dividend; the fund units are traded ex dividend
- November 13 Record day
- November 18 Payment day
The above applies unless otherwise published. For further information, please contact: Stefan Hagman, Handelsbanken Fonder AB: +46 70-611 18 68
This information is of the type that Handelsbanken Fonder AB is obliged to make public pursuant to Nasdaq Stockholm's Issuer Rules. The information was submitted for publication through the agency of the contact person set out above, at 12:30 CET on February 9 2024.
For more information about Handelsbanken, see: www.handelsbanken.com and www.xact.se/en
New Chairman of the Board of Directors of Handelsbanken Fonder
Stockholm, 21 December 2023
Anna Possne has been appointed as new Board member and Chairman of the Board of Directors of Handelsbanken Fonder AB, a position she will assume immediately. Anna Possne succeeds Michael Green, who will assume the position as President and Group Chief Executive Officer of Svenska Handelsbanken AB (publ) on 1 January.
Anna Possne is Head of Products and Offerings within Handelsbanken, a position she will retain alongside her position as Chairman of the Board of Directors of Handelsbanken Fonder AB.
For further information, please contact: Staffan Ringvall, Head of Corporate Governance, +46 (0)70 291 56 97 Handelsbanken Press Office, +46 (0)8 701 80 18
This information is made public by Handelsbanken Fonder AB in its capacity as manager of exchangetraded funds (so-called ETFs), pursuant to the Issuer Rules of Nasdaq Stockholm and Nasdaq Copenhagen, respectively. The information was submitted for publication through the agency of the contact person set out above, at 08:00 CET on 21 December 2023.
For more information about Handelsbanken, see: www.handelsbanken.com
For more information about Handelsbanken Fonder, see: www.handelsbankenfonder.se and www.xact.se
XACT OMXC25 – Sustainability alignment and name change
We will be changing the fund rules for the XACT OMXC25 exchange-traded fund (UCITS ETF) on 1 September 2023.
Change to a sustainability index The fund will be switching to an index that has sustainability requirements for the companies included in the index. This does not result in any substantial changes to the fund’s investment focus or risk level, nor does it lead to any additional costs for you.
In conjunction with the switch to a sustainability index, the fund will transition from a so-called Article 6 fund to one that will be reported as an Article 8 fund pursuant to SFDR[1] . An Article 8 fund means that the fund promotes environmental and social characteristics, which implies that this index takes into account the environment and climate, as well as human rights, employee rights and anti-corruption.
Index prior to change: OMX Copenhagen 25 Index Index after change: OMX Copenhagen 25 ESG Responsible Net Index
Change to fund name In conjunction with the changes, the new name of the fund will be XACT OMXC25 ESG (UCITS ETF).
New fund rules All of the changes have been approved by the Swedish Financial Supervisory Authority. The updated fund rules, fact sheet and prospectus will be accessible at xact.se and handelsbanken.se/fonder as of 1 September 2023.
For further information, please contact: Stefan Hagman, Index fund management, Handelsbanken Fonder Telephone number: 070-611 1868
Handelsbanken Fonder AB is required to disclose this information pursuant to the Issuer Rules of Nasdaq Copenhagen. This information has been provided for public disclosure through the initiative of the aforementioned contact person on 28 August 2023 at 08.00 CET.
For additional information about Handelsbanken, please refer to: www.handelsbanken.se and www.xact.se.
[1]SFDR: EU regulation 2019/2088, Regulation on sustainability-related disclosures in the financial services sector. Additional information is available in the prospectus or under the fund’s “Sustainability” tab which is found in the fund unit price list at www.handelsbanken.se/fonder.