2030 Fund D FI0008800909
EUR
5
20250825000000 25.08.2025
9000000000000957 0.95744
9000000000000240 + 0.24
9000000000000186 + 0.19
9000000000001174 + 1.17
9000000000001089 + 1.09
2030 Fund G FI0008800826
EUR
5
20250825000000 25.08.2025
9000000000002813 2.81256
9000000000000240 + 0.24
9000000000000187 + 0.19
9000000000001174 + 1.17
9000000000001113 + 1.11
2040 Fund D FI0008808035
EUR
3
20250825000000 25.08.2025
9000000000001676 1.67615
9000000000000587 + 0.59
9000000000000511 + 0.51
9000000000001905 + 1.90
9000000000000836 + 0.84
2040 Fund G FI0008808027
EUR
3
20250825000000 25.08.2025
9000000000003704 3.70432
9000000000000587 + 0.59
9000000000000511 + 0.51
9000000000001905 + 1.91
9000000000000871 + 0.87
China Fund D FI0008808522
EUR
3
20250822000000 22.08.2025
9000000000001641 1.64130
9000000000003252 + 3.25
9000000000003351 + 3.35
9000000000007488 + 7.49
9000000000020653 + 20.65
China Fund G FI0008808514
EUR
3
20250822000000 22.08.2025
9000000000003930 3.92971
9000000000003252 + 3.25
9000000000003352 + 3.35
9000000000007488 + 7.49
9000000000020633 + 20.63
Compass 25 Fund D FI0008803317
EUR
4
20250825000000 25.08.2025
9000000000000869 0.86939
9000000000000078 + 0.08
8999999999999894 – 0.11
9000000000000695 + 0.69
9000000000001590 + 1.59
Compass 25 Fund G FI0008803309
EUR
4
20250825000000 25.08.2025
9000000000002273 2.27285
9000000000000078 + 0.08
8999999999999893 – 0.11
9000000000000695 + 0.69
9000000000001596 + 1.60
Compass 50 Fund D FI0008805346
EUR
4
20250825000000 25.08.2025
9000000000001059 1.05857
9000000000000109 + 0.11
9000000000000000 + 0.00
9000000000001020 + 1.02
9000000000001351 + 1.35
Compass 50 Fund G FI0008805338
EUR
4
20250825000000 25.08.2025
9000000000002626 2.62592
9000000000000109 + 0.11
9000000000000000 + 0.00
9000000000001020 + 1.02
9000000000001362 + 1.36
Compass 75 Fund D FI0008805361
EUR
4
20250825000000 25.08.2025
9000000000001189 1.18886
9000000000000340 + 0.34
9000000000000255 + 0.25
9000000000001516 + 1.52
9000000000001011 + 1.01
Compass 75 Fund G FI0008805353
EUR
4
20250825000000 25.08.2025
9000000000002948 2.94828
9000000000000341 + 0.34
9000000000000255 + 0.25
9000000000001516 + 1.52
9000000000001031 + 1.03
Compass Equity Fund D FI0008803291
EUR
2
20250825000000 25.08.2025
9000000000000642 0.64220
9000000000000251 + 0.25
9000000000000341 + 0.34
9000000000001401 + 1.40
8999999999999979 – 0.02
Compass Equity Fund G FI0008803283
EUR
2
20250825000000 25.08.2025
9000000000001902 1.90151
9000000000000251 + 0.25
9000000000000340 + 0.34
9000000000001400 + 1.40
9000000000000018 + 0.02
Compass Liquidity Fund D FI0008803275
EUR
4
20250825000000 25.08.2025
9000000000000826 0.82570
9000000000000116 + 0.12
8999999999999903 – 0.10
9000000000000261 + 0.26
9000000000002050 + 2.05
Compass Liquidity Fund G FI0008803267
EUR
4
20250825000000 25.08.2025
9000000000001982 1.98206
9000000000000117 + 0.12
8999999999999903 – 0.10
9000000000000261 + 0.26
9000000000002052 + 2.05
Emerging Markets Debt Fund D FI0008803333
EUR
4
20250822000000 22.08.2025
9000000000001208 1.20761
9000000000000292 + 0.29
9000000000000012 + 0.01
9000000000002101 + 2.10
9000000000006367 + 6.37
Emerging Markets Debt Fund G FI0008803325
EUR
4
20250822000000 22.08.2025
9000000000003054 3.05363
9000000000000292 + 0.29
9000000000000013 + 0.01
9000000000002101 + 2.10
9000000000006375 + 6.37
Emerging Markets Sustainable Future Class A LU1116403194
EUR
3
20250825000000 25.08.2025
9000000000015089 15.089
9000000000000600 + 0.60
9000000000000346 + 0.35
9000000000004960 + 4.96
9000000000008344 + 8.34
Emerging Markets Sustainable Future Fund D FI0008809439
EUR
2
20250822000000 22.08.2025
9000000000000999 0.99898
9000000000001407 + 1.41
9000000000000794 + 0.79
9000000000005108 + 5.11
9000000000010378 + 10.38
Emerging Markets Sustainable Future Fund G FI0008809421
EUR
2
20250822000000 22.08.2025
9000000000002205 2.20549
9000000000001407 + 1.41
9000000000000793 + 0.79
9000000000005108 + 5.11
9000000000010395 + 10.39
Euro Bond Fund D FI0008803093
EUR
3
20250825000000 25.08.2025
9000000000000137 0.13684
8999999999999810 – 0.19
8999999999999767 – 0.23
8999999999999876 – 0.12
8999999999999858 – 0.14
Euro Bond Fund G FI0008803085
EUR
3
20250825000000 25.08.2025
9000000000000349 0.34921
8999999999999814 – 0.19
8999999999999771 – 0.23
8999999999999877 – 0.12
8999999999999866 – 0.13
Euro Bond Fund I D FI4000391032
EUR
2
20250825000000 25.08.2025
9000000000014118 14.11766
8999999999999814 – 0.19
8999999999999774 – 0.23
8999999999999887 – 0.11
8999999999999926 – 0.07
Euro Bond Fund I G FI4000391024
EUR
2
20250825000000 25.08.2025
9000000000036049 36.04885
8999999999999814 – 0.19
8999999999999774 – 0.23
8999999999999887 – 0.11
8999999999999932 – 0.07
Euro Corporate Bond Fund D FI0008803176
EUR
3
20250825000000 25.08.2025
9000000000000142 0.14191
8999999999999951 – 0.05
8999999999999824 – 0.18
9000000000000099 + 0.10
9000000000001899 + 1.90
Euro Corporate Bond Fund G FI0008803168
EUR
3
20250825000000 25.08.2025
9000000000000361 0.36058
8999999999999953 – 0.05
8999999999999828 – 0.17
9000000000000094 + 0.09
9000000000001902 + 1.90
Euro Government Bond Index Fund G FI0008810452
EUR
3
20250822000000 22.08.2025
9000000000001570 1.57026
9000000000000284 + 0.28
9000000000000315 + 0.31
8999999999999268 – 0.73
9000000000000259 + 0.26
Euro High Yield Fund D FI0008810171
EUR
2
20250825000000 25.08.2025
9000000000001042 1.04158
9000000000000045 + 0.05
8999999999999752 – 0.25
9000000000000413 + 0.41
9000000000003409 + 3.41
Euro High Yield Fund G FI0008810163
EUR
2
20250825000000 25.08.2025
9000000000002092 2.09196
9000000000000045 + 0.05
8999999999999752 – 0.25
9000000000000413 + 0.41
9000000000003407 + 3.41
Europe High Dividend Fund D FI0008805379
EUR
4
20250825000000 25.08.2025
9000000000039315 39.31453
8999999999999676 – 0.32
9000000000001650 + 1.65
9000000000004478 + 4.48
9000000000020219 + 20.22
Europe High Dividend Fund G FI0008804158
EUR
4
20250825000000 25.08.2025
9000000000108097 108.09666
8999999999999676 – 0.32
9000000000001650 + 1.65
9000000000004478 + 4.48
9000000000020260 + 20.26
Europe Small Cap Fund D FI0008802970
EUR
3
20250825000000 25.08.2025
9000000000000116 0.11557
9000000000000234 + 0.23
9000000000001067 + 1.07
9000000000000182 + 0.18
9000000000003595 + 3.59
Europe Small Cap Fund G FI0008802962
EUR
3
20250825000000 25.08.2025
9000000000000328 0.32754
9000000000000226 + 0.23
9000000000001058 + 1.06
9000000000000174 + 0.17
9000000000003642 + 3.64
European Corporate Green Bond Class A LU2019292965
EUR
0
20250822000000 22.08.2025
9000000000010589 10.589
9000000000000066 + 0.07
8999999999999859 – 0.14
8999999999999896 – 0.10
9000000000001964 + 1.96
European Corporate Sustainable Bond Class A LU1399304283
EUR
2
20250822000000 22.08.2025
9000000000010189 10.189
9000000000000098 + 0.10
8999999999999853 – 0.15
8999999999999745 – 0.25
9000000000001809 + 1.81
European Equity Fund D FI0008802996
EUR
3
20250825000000 25.08.2025
9000000000000210 0.21013
8999999999999729 – 0.27
9000000000001009 + 1.01
9000000000003258 + 3.26
9000000000010457 + 10.46
European Equity Fund G FI0008802988
EUR
3
20250825000000 25.08.2025
9000000000000666 0.66605
8999999999999727 – 0.27
9000000000001007 + 1.01
9000000000003256 + 3.26
9000000000010498 + 10.50
Finnish Equity Fund D FI0008803119
EUR
2
20250825000000 25.08.2025
9000000000000258 0.25794
9000000000000510 + 0.51
9000000000002191 + 2.19
9000000000000605 + 0.60
9000000000016218 + 16.22
Finnish Equity Fund G FI0008803101
EUR
2
20250825000000 25.08.2025
9000000000000836 0.83554
9000000000000508 + 0.51
9000000000002188 + 2.19
9000000000000603 + 0.60
9000000000016251 + 16.25
Finnish Equity Fund I D FI4000390976
EUR
2
20250825000000 25.08.2025
9000000000047870 47.86975
9000000000000512 + 0.51
9000000000002196 + 2.20
9000000000000642 + 0.64
9000000000016551 + 16.55
Finnish Equity Fund I G FI4000390968
EUR
2
20250825000000 25.08.2025
9000000000152590 152.59002
9000000000000512 + 0.51
9000000000002196 + 2.20
9000000000000642 + 0.64
9000000000016588 + 16.59
Global Emerging Markets, osuuslaji EUR DK0060564151
EUR
2
20250825000000 25.08.2025
9000000000014750 14.75
9000000000001097 + 1.10
9000000000000683 + 0.68
9000000000003147 + 3.15
9000000000005963 + 5.96
Global Equity Fund D FI0008802939
EUR
4
20250822000000 22.08.2025
9000000000000395 0.39472
9000000000001903 + 1.90
9000000000001771 + 1.77
9000000000003876 + 3.88
9000000000000630 + 0.63
Global Equity Fund G FI0008802921
EUR
4
20250822000000 22.08.2025
9000000000001144 1.14446
9000000000001904 + 1.90
9000000000001772 + 1.77
9000000000003877 + 3.88
9000000000000633 + 0.63
Institutional Liquidity Fund D FI0008803192
EUR
5
20250825000000 25.08.2025
9000000000017881 17.88071
9000000000000016 + 0.02
9000000000000037 + 0.04
9000000000000204 + 0.20
9000000000002112 + 2.11
Institutional Liquidity Fund G FI0008803184
EUR
5
20250825000000 25.08.2025
9000000000033908 33.90844
9000000000000016 + 0.02
9000000000000037 + 0.04
9000000000000204 + 0.20
9000000000002113 + 2.11
Institutional Liquidity Plus Fund D FI0008810379
EUR
5
20250825000000 25.08.2025
9000000000001017 1.01668
9000000000000013 + 0.01
9000000000000019 + 0.02
9000000000000197 + 0.20
9000000000002283 + 2.28
Institutional Liquidity Plus Fund G FI0008810361
EUR
5
20250825000000 25.08.2025
9000000000001573 1.57335
9000000000000013 + 0.01
9000000000000018 + 0.02
9000000000000197 + 0.20
9000000000002280 + 2.28
Japanese Equity Fund D FI0008802913
EUR
3
20250822000000 22.08.2025
9000000000000102 0.10179
9000000000000543 + 0.54
9000000000000246 + 0.25
9000000000008138 + 8.14
9000000000007961 + 7.96
Japanese Equity Fund G FI0008802905
EUR
2
20250822000000 22.08.2025
9000000000000290 0.29012
9000000000000551 + 0.55
9000000000000249 + 0.25
9000000000008137 + 8.14
9000000000007932 + 7.93
Kehittyvät Korkomarkkinat Paikallisvaluutta, osuuslaji EUR W DK0060910164
EUR
2
20250825000000 25.08.2025
9000000000011320 11.32
8999999999999912 – 0.09
8999999999999560 – 0.44
9000000000000891 + 0.89
9000000000000712 + 0.71
Kehittyvät Korkomarkkinat, paikallisvaluutta, osuuslaji EUR DK0060485522
EUR
3
20250825000000 25.08.2025
9000000000010110 10.11
9000000000000198 + 0.20
9000000000000000 + 0.00
9000000000001404 + 1.40
9000000000001506 + 1.51
Liquidity Fund D FI0008803077
EUR
5
20250825000000 25.08.2025
9000000000000157 0.15709
9000000000000013 + 0.01
9000000000000045 + 0.04
9000000000000191 + 0.19
9000000000001983 + 1.98
Liquidity Fund G FI0008803069
EUR
4
20250825000000 25.08.2025
9000000000000298 0.29793
9000000000000017 + 0.02
9000000000000040 + 0.04
9000000000000192 + 0.19
9000000000001982 + 1.98
MediLife Fund D FI0008802954
EUR
4
20250822000000 22.08.2025
9000000000000991 0.99107
9000000000001259 + 1.26
9000000000002312 + 2.31
9000000000004911 + 4.91
8999999999992737 – 7.26
MediLife Fund G FI0008802947
EUR
4
20250822000000 22.08.2025
9000000000002639 2.63861
9000000000001260 + 1.26
9000000000002313 + 2.31
9000000000004911 + 4.91
8999999999992687 – 7.31
Nordic Corporate Bond Plus Fund D FI0008804117
EUR
4
20250825000000 25.08.2025
9000000000017886 17.88577
9000000000000023 + 0.02
9000000000000082 + 0.08
9000000000000518 + 0.52
9000000000003057 + 3.06
Nordic Corporate Bond Plus Fund G FI0008804109
EUR
4
20250825000000 25.08.2025
9000000000035226 35.22643
9000000000000023 + 0.02
9000000000000082 + 0.08
9000000000000518 + 0.52
9000000000003060 + 3.06
Pohjoisen Yrityslainat, osuuslaji EUR h DK0060500429
EUR
5
20250825000000 25.08.2025
9000000000012520 12.52
9000000000000160 + 0.16
9000000000000080 + 0.08
9000000000000482 + 0.48
9000000000003130 + 3.13
Reaalikorko Maailma, osuuslaji EUR h DK0060485282
EUR
3
20250825000000 25.08.2025
9000000000011920 11.92
9000000000000421 + 0.42
9000000000000337 + 0.34
9000000000000168 + 0.17
9000000000001103 + 1.10
Technology Index Fund D FI0008803150
EUR
4
20250822000000 22.08.2025
9000000000000759 0.75861
9000000000002338 + 2.34
8999999999999858 – 0.14
9000000000003012 + 3.01
9000000000001937 + 1.94
Technology Index Fund G FI0008803143
EUR
4
20250822000000 22.08.2025
9000000000002047 2.04716
9000000000002338 + 2.34
8999999999999857 – 0.14
9000000000003012 + 3.01
9000000000001992 + 1.99
USA Index Fund D FI0008803135
EUR
3
20250822000000 22.08.2025
9000000000000129 0.12863
9000000000002031 + 2.03
9000000000001077 + 1.08
9000000000003292 + 3.29
8999999999998807 – 1.19
USA Index Fund G FI0008803127
EUR
3
20250822000000 22.08.2025
9000000000000387 0.38730
9000000000002037 + 2.04
9000000000001078 + 1.08
9000000000003291 + 3.29
8999999999998829 – 1.17
USA Index Fund I D FI4000391016
EUR
3
20250822000000 22.08.2025
9000000000002870 2.86959
9000000000002034 + 2.03
9000000000001076 + 1.08
9000000000003293 + 3.29
8999999999998835 – 1.17
USA Index Fund I G FI4000391008
EUR
3
20250822000000 22.08.2025
9000000000007108 7.10770
9000000000002034 + 2.03
9000000000001077 + 1.08
9000000000003293 + 3.29
8999999999998860 – 1.14