Your partner for secure portfolio management

Free up time and maximize your capital with Crescit

Crescit offers funds for institutions and individuals that both protect your capital and maximize its potential. The key to our management is portfolio construction through options and derivatives. With extensive experience and deep expertise in derivatives management, we use options to control risk and improve risk-adjusted returns.

Return

Crescit per 30-12-2025, protect per 30-12-2025
Month
+0,13%
2025
+8.30 %
Annual decline +6.1 %
Month
0.40%
2025
+11,44 %
Annual decl.
+7,1 %
Month
-2.72 %
2025
-6.99 %
Annual decline +7.2 %

* Annual return refers to the average annual return since 2019-12-31

Why Crescit Protect?

News

News

Macro letter for December 2025

December was an intense end to the year, with markets marked by both hope and caution. The central banks' final interest rate announcements for the year, continued geopolitical uncertainty and positioning ahead of the year-end created clear movements in several asset classes. Developments differed markedly between regions: the S&P 500 was largely unchanged during the month, while European

News

Annual Report 2025

When we summarize 2025, a clear pattern emerges: the market was often influenced more by the news flow than by reported earnings and macro forecasts. Events such as tariff threats, political statements and central bank communications created repeated oscillations between risk appetite and caution. The year was characterized by difficult trade-offs between reducing risk and thereby risking being left out

News

Monthly comment November

November was a month marked by high uncertainty but at the same time several bright spots in the financial markets. Monetary policy announcements, geopolitical changes and major movements in both currency and commodity markets created recurring fluctuations. The Swedish market continued to develop relatively stably, while global indices showed a more mixed picture. Crescit returned -0.32

News

Monthly Commentary October

October was another month of strong movements in the financial markets. Global stock indices rose broadly on expectations of interest rate cuts and an improved trading climate. At the same time, long-term interest rates stabilized and in some cases fell slightly. In the US, the Federal Reserve cut interest rates by 25 basis points towards the end of the month, which was reinforced by signs

News

Monthly comment September

September was an unexpectedly strong month for the financial markets. Stock indices rose broadly across the world until the last day of the month. At the same time, long-term interest rates remained relatively stable, if anything, they fell slightly. US long-term interest rates also fell and credit spreads were further pressured down. Growth continued to develop stably and

News

Monthly comment August

August was an unexpectedly strong month for the stock market. After the strong recovery from the spring stock market decline, many suspected that late summer could be weak. Instead, the stock index continued to rise. Crescit's funds, which had slightly lower exposure than normal, generated a cautiously positive return. Protect rose by +1.56 % and Hedge by +0.33 %.

Growth as Investment

Why Crescit?

Crescit offers tailored investment strategies that utilize options and derivative strategies to generate attractive returns at lower risk.
Our primary goal

Maximize the return in relation to the risk in our investments. Using smart tools such as derivatives and thoughtful risk management, we help you achieve your financial goals, while keeping risks under control.

Continuous risk management

Through derivatives and specialized investment mandates, we can continuously optimize our portfolios and risks. With adequate risk management, we create a strong risk-adjusted return regardless of market conditions.

Customized solutions

Each individual and institution has its own goals and risk appetite, which is why we offer a number of different investment options with clearly differentiated risk levels. From our low risk hedge fund up to regular stock market exposure.

Optionality is key

For every traditional investment (a stock, a mutual fund, or a bond) there is a better alternative. Through options and derivatives, we create a better balance between return and risk.

We are an independent fund company that is under the supervision of the Swedish Financial Supervisory Authority

Address: Brahegatan 20

Crescit Asset Management AB
Brahegatan 20
114 37 Stockholm

kontakt@crescit.se
+46 (0) 70 217 20 78

Long-term value growth

Crescit's business concept is to use the stock market's long-term value growth through stock index derivatives. With a clear focus on risk management and extensive protection against major stock market falls, we increase the possibility of long-term value growth.

Diversification and risk management

To protect your investments, we review and manage each individual position individually. By carefully evaluating the risks for each derivative position, we reduce the impact from market fluctuations and create an even and stable development

Organization

Crescit has a focused organization with a focus on management. We have a robust control environment and collaborate with carefully selected partners who are leaders in their field. The board consists of experts in asset management to support the management and optimize the investment process.

Crescit's core values are built up from the time as trustee at Skanska's pension foundation

12 years of stable investments, solid experience and a secure ownership structure - we protect and grow your capital with care

Newsletter

Sign up for our newsletter to receive our latest news