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Landsbréf - LEQ UCITS ETF

Fluctuations

Rate

2798.15

iNav*

2,780.62

Nominal return YTD

−0.92%

2023

0.35%

2025

0.24%

2022

−20.87%

2024

19.80%

2021

36.00%

*Est. price based on most recent information at each time. All information is subject to a 3 minute delay.

Asset composition01/04/2026
Hlutabréf í OMXI15CAP- vísitölunni
98.33%
Cash
1.67%
Itemised asset portfolio24/04/2026
Cash and cash equivalents
11,889,221
ISK
KVIKA
12,526,731
hlutir
ARION
3,553,741
hlutir
FESTI
996,350
hlutir
ICEAIR
108,784,319
hlutir
REITIR
1,932,014
hlutir
HAGA
3,236,448
hlutir
SVN
2,501,308
hlutir
EIM
331,412
hlutir
ISB
5,930,778
hlutir
SJOVA
3,134,433
hlutir
ALVO
323,861
hlutir
AMRQ
1,113,449
hlutir
OCS
110,859
hlutir
HEIMAR
5,146,728
hlutir
JBTM
16,578
hlutir
LEQ
1,576,000
útgefnir hlutir

Fund details

Fund type
UCITS
Registration no.
681212-9300
Creation date
10. April 2013
Net asset value
4,197.70 m. ISK
Base currency
ISK
Management fee incl. in fund price
0.50%

Fund managers

Halldór Kristinsson
Guðmundur K. Guðmundsson

Fund transactions

Trading hours
09:30 - 15:30 GMT
Settlement
2 bank days
Minimum investment
100,000 ISK
Transaction fee
1.00%
Buy and sell charge in online banking
0.75%
Minimum transaction fee
-
Minimum transaction fee in online banking
1,950 ISK
Service fee
600 ISK
Service charge in the app and online banking
300 ISK

More information about the fund

We encourage you to read up on a fund before investing. Below you’ll find key information about the fund in printable format.

The fund is a mutual fund, a UCITS.

Investment in funds always involves risk as the price of units can both increase and decrease due to changes in the value of underlying assets and exchange rate fluctuations where fund assets are in foreign currencies. Past returns are not necessarily an indication of future returns. Before investing in a fund, we encourage you to familiarise yourself with the principal information and risks of each fund prospectus by perusing the key investor information, fact sheets and prospectuses available for each fund. The redemption value of the fund’s units is the market value of its total assets less any debts of the fund, such as unpaid administrative and management costs, and other costs.

The fund is managed by Landsbréf hf., a management company licensed to operate in Iceland and supervised by the Financial Supervisory Authority of the Central Bank of Iceland. Landsbankinn hf. serves as custodian bank for the fund. Information about taxation is available in the document Taxation.

All information on this site is accurate according to Landsbankinn’s best knowledge and is intended for information purposes only and not as the basis of business transactions. Landsbankinn bears no liability for any inaccuracies or delays in updating information and/or for decisions based on such information. Data is subject to a 15 minute delay.