Landsbref Government Bond Fund Medium Duration

Who should invest?

The Fund is especially suitable for investors seeking safe returns on their investments by investing in government bonds. By investing in Landbanki Security Fund ("Sparibréf" in Icelandic) you benefit from Landsbanki's expert knowledge and coverage of the Icelandic fixed income market.

Investment Strategy

The Fund aims at providing good returns on a diverse securities portfolio, emphasising government-backed securities (Goverment securities, treasury notes and House Financing Fund securities).


Min: 4.40 Max: 4.65 Start: 4.40 End: 4.65

Investment Policy

Investment categories 8/1/2020 Min Max
Bonds and money market instruments issued or guaranteed by the National Treasury 99.1% 80% 100%
Deposits 1.1% 0% 20%
Cash 0.0% 0% 10%

About the Fund

The Fund is a UCITS operating pursuant to Act No. 128/2011, on UCITS, Investment Funds and Institutional Investor Funds, and is supervised by the Icelandic Financial Supervisory Authority (FME). The Fund is managed by Landsbréf hf., a management company licensed to operate in Iceland and supervised by the FME. Landsbankinn hf. serves as custodian bank for the Fund. Information about taxation is available in the document “Taxation”. 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. Investors are advised to acquaint themselves thoroughly with key information and the prospectus of funds prior to investing. 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.

Share Classes
Bloomberg ISIN Min investment Man. fee
LAISGSF IR IS0000012136 5,000 ISK 0.80%

More information

  • Contact us by phone +354 410 4040 | e-mail | Online form
  • Landsbanki - Investments and Pension Services
  • Austurstraeti 11
  • 155 Reykjavik, Iceland

Next steps ...

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View fact sheet

Nominal Return

Nominal Return 7/31/2020

Period Uppsafn. Ársgr.
YtD 6.31% -
Past month 0.15% -
Past 2 months 0.56% -
Past 3 months 1.75% -
Past 6 months 5.39% -
Past year 6.94% 6.94%
Past 2 years 15.78% 7.60%
Past 3 years 19.80% 6.21%
Past 4 years 29.15% 6.60%
Past 5 years 32.23% 5.75%


Registration no. 630101-9050
Fund type Fixed income fund
Legal form UCITS
Inception date February 5, 2001
Domicile Iceland
Net asset value 8,523.4 m. ISK
Base currency ISK
Fund managers Rósa Björgvinsdóttir Sandra B. Ævarsdóttir
Trading hours 9:30 AM - 2:30 PM GMT
Settlement - Buys 2 bankdays
Settlement - Sells 2 bankdays
Bid-ask spread 1%
Transaction fee 450 ISK
Subscription available Yes
Spread discount for subscribers 100%