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Fund

Fondita Sustainable World is an equity fund that invests in companies with climate-smart and eco-friendly products or services.

Sustainability theme

Do you want to invest in companies that through their operations contribute to sustainable development?

In the coming decades, we need to continue fighting climate change and strive to preserve our natural resources. Companies that are seen as a part of the solution will find demand for their products or services. This fund focuses on climate-smart and eco-friendly companies!

Environmental certificate

The fund holds the Nordic Swan Ecolabel certificate. 

Fondita Sustainable World received its Nordic Swan certification on 8/10/2020. The environmental certificate guarantees that the fund has integrated several key sustainability factors into its investment process. Moreover, the fund is transparent and clear when it comes to sustainability data reporting.

The certificate is an assurance of quality for our work within sustainability. From the client’s perspective, the certification can be considered as a strong guarantee that the fund invests in sustainable companies. 

Sustainability
Read more about the fund’s sustainability principles:

Portfolio managers

Marcus Björkstén

Portfolio Manager, Head of Portfolio Management
Fund facts

31.12.2025

Fund size (M€)
43,7
ISIN (A)
FI4000024484
ISIN (B)
FI4000024492
Currency
EUR
Management fee
2,00 % p.a.
Risk indicator
5/7
SFDR Classification
Article 9
The fund manager's comment
The last month of the year did not bring any dramatic moves within global stock markets. The most notable event was the widely anticipated Fed rate cut in early December. European equities in general, and small/micro caps in particular, outperformed the broad global equity indices in December (in EUR). This trend also characterized the full year 2025. As usual, liquidity d...
Top holdings
Prysmian (IT)
5,9 %
GE Vernova (US)
5,1 %
Wärtsilä (FI)
4,8 %
ABB (CH)
4,8 %
Borregaard (NO)
4,6 %
USA
52 %
Germany
10 %
Finland
9 %
Norway
7 %
Italy
6 %
Return
1 month
-0,4 %
3 months
3,2 %
6 months
9,2 %
YTD
3,4 %
1 year
3,4 %
3 years
-12,1 %
5 years
-25,8 %
10 years
31,0 %
since launch (19.5.2011)
91,9 %
since launch p.a.
4,6 %
Sector division
Industrials
63 %
Information Technology
20 %
Materials
7 %
Utilities
5 %
Consumer Staples
3 %
Cash
1 %
Top 10 holdings
Prysmian (IT)
5,9 %
GE Vernova (US)
5,1 %
Wärtsilä (FI)
4,8 %
ABB (CH)
4,8 %
Borregaard (NO)
4,6 %
Clean Harbours (US)
4,6 %
Siemens (DE)
4,1 %
Waste Management (US)
4,1 %
Xylem (US)
3,9 %
Lyft (US)
3,8 %
Country division
USA
52 %
Germany
10 %
Finland
9 %
Norway
7 %
Italy
6 %
Sweden
5 %
Other
12 %
Currency exposure
USD
52 %
EUR
30 %
NOK
7 %
SEK
5 %
CHF
5 %
GBP
2 %
Fees
TER
2,00 %
Subscription fee
0,00 %
Redemption fee
0,00 %

Total client relationship allow for changes in tariff rate.

Documents

FUND INFORMATION
KID
PAI Statements
Fund rules
KID DE
Holdings
Prospectus
REPORTS
Monthly report
Annual report
Semi-annual report
SUSTAINABILITY DOCUMENTS
Nordic Swan Ecolabel certificate
European SRI Transparency Code
Austrian Ecolabel
ESG Report
Holdings
Shared sustainability documents
Sustainability-related disclosures

This is marketing communication. The past performance of the investment fund does not provide any guarantee of future results. Read the fund prospectus and KID (Key Information Document) before making any investment decisions. The fund prospectus and KID are available on English, Finnish and Swedish at our website.

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