2030 Fund D FI0008800909
EUR
4
20250703000000 03.07.2025
9000000000000935 0.93485
9000000000000067 + 0.07
9000000000000788 + 0.79
9000000000000721 + 0.72
8999999999998704 – 1.30
2030 Fund G FI0008800826
EUR
4
20250703000000 03.07.2025
9000000000002746 2.74620
9000000000000068 + 0.07
9000000000000788 + 0.79
9000000000000721 + 0.72
8999999999998727 – 1.27
2040 Fund D FI0008808035
EUR
3
20250703000000 03.07.2025
9000000000001614 1.61438
9000000000000272 + 0.27
9000000000000968 + 0.97
9000000000000971 + 0.97
8999999999997120 – 2.88
2040 Fund G FI0008808027
EUR
3
20250703000000 03.07.2025
9000000000003568 3.56782
9000000000000272 + 0.27
9000000000000968 + 0.97
9000000000000972 + 0.97
8999999999997154 – 2.85
China Fund D FI0008808522
EUR
3
20250703000000 03.07.2025
9000000000001418 1.41769
9000000000000632 + 0.63
8999999999999152 – 0.85
9000000000000110 + 0.11
9000000000004216 + 4.22
China Fund G FI0008808514
EUR
3
20250703000000 03.07.2025
9000000000003394 3.39433
9000000000000632 + 0.63
8999999999999153 – 0.85
9000000000000111 + 0.11
9000000000004198 + 4.20
Compass 25 Fund D FI0008803317
EUR
4
20250703000000 03.07.2025
9000000000000858 0.85836
8999999999999994 – 0.01
9000000000000535 + 0.54
9000000000000738 + 0.74
9000000000000302 + 0.30
Compass 25 Fund G FI0008803309
EUR
4
20250703000000 03.07.2025
9000000000002244 2.24402
8999999999999994 – 0.01
9000000000000535 + 0.53
9000000000000738 + 0.74
9000000000000308 + 0.31
Compass 50 Fund D FI0008805346
EUR
4
20250703000000 03.07.2025
9000000000001037 1.03692
9000000000000054 + 0.05
9000000000000776 + 0.78
9000000000000828 + 0.83
8999999999999278 – 0.72
Compass 50 Fund G FI0008805338
EUR
4
20250703000000 03.07.2025
9000000000002572 2.57221
9000000000000054 + 0.05
9000000000000776 + 0.78
9000000000000829 + 0.83
8999999999999289 – 0.71
Compass 75 Fund D FI0008805361
EUR
3
20250703000000 03.07.2025
9000000000001154 1.15390
9000000000000169 + 0.17
9000000000000932 + 0.93
9000000000000990 + 0.99
8999999999998040 – 1.96
Compass 75 Fund G FI0008805353
EUR
3
20250703000000 03.07.2025
9000000000002862 2.86157
9000000000000169 + 0.17
9000000000000932 + 0.93
9000000000000990 + 0.99
8999999999998060 – 1.94
Compass Equity Fund D FI0008803291
EUR
3
20250703000000 03.07.2025
9000000000000623 0.62306
9000000000000174 + 0.17
9000000000000802 + 0.80
9000000000000456 + 0.46
8999999999996999 – 3.00
Compass Equity Fund G FI0008803283
EUR
3
20250703000000 03.07.2025
9000000000001845 1.84485
9000000000000174 + 0.17
9000000000000804 + 0.80
9000000000000456 + 0.46
8999999999997038 – 2.96
Compass Liquidity Fund D FI0008803275
EUR
4
20250703000000 03.07.2025
9000000000000824 0.82352
8999999999999898 – 0.10
9000000000000170 + 0.17
9000000000000448 + 0.45
9000000000001781 + 1.78
Compass Liquidity Fund G FI0008803267
EUR
4
20250703000000 03.07.2025
9000000000001977 1.97683
8999999999999898 – 0.10
9000000000000170 + 0.17
9000000000000447 + 0.45
9000000000001783 + 1.78
Emerging Markets Debt Fund D FI0008803333
EUR
4
20250703000000 03.07.2025
9000000000001183 1.18333
9000000000000111 + 0.11
9000000000000683 + 0.68
9000000000002582 + 2.58
9000000000004229 + 4.23
Emerging Markets Debt Fund G FI0008803325
EUR
4
20250703000000 03.07.2025
9000000000002992 2.99224
9000000000000111 + 0.11
9000000000000684 + 0.68
9000000000002581 + 2.58
9000000000004236 + 4.24
Emerging Markets Sustainable Future Class A LU1116403194
EUR
3
20250704000000 04.07.2025
9000000000014158 14.158
9000000000000042 + 0.04
9000000000001165 + 1.16
9000000000002751 + 2.75
9000000000001659 + 1.66
Emerging Markets Sustainable Future Fund D FI0008809439
EUR
2
20250703000000 03.07.2025
9000000000000934 0.93411
9000000000000165 + 0.17
9000000000001412 + 1.41
9000000000003120 + 3.12
9000000000003210 + 3.21
Emerging Markets Sustainable Future Fund G FI0008809421
EUR
2
20250703000000 03.07.2025
9000000000002062 2.06228
9000000000000165 + 0.17
9000000000001412 + 1.41
9000000000003120 + 3.12
9000000000003227 + 3.23
Euro Bond Fund D FI0008803093
EUR
2
20250703000000 03.07.2025
9000000000000138 0.13811
9000000000000036 + 0.04
8999999999999884 – 0.12
8999999999999790 – 0.21
9000000000000785 + 0.79
Euro Bond Fund G FI0008803085
EUR
2
20250703000000 03.07.2025
9000000000000352 0.35244
9000000000000034 + 0.03
8999999999999887 – 0.11
8999999999999788 – 0.21
9000000000000789 + 0.79
Euro Bond Fund I D FI4000391032
EUR
2
20250703000000 03.07.2025
9000000000014246 14.24600
9000000000000033 + 0.03
8999999999999887 – 0.11
8999999999999796 – 0.20
9000000000000835 + 0.83
Euro Bond Fund I G FI4000391024
EUR
2
20250703000000 03.07.2025
9000000000036377 36.37653
9000000000000033 + 0.03
8999999999999887 – 0.11
8999999999999796 – 0.20
9000000000000840 + 0.84
Euro Corporate Bond Fund D FI0008803176
EUR
3
20250703000000 03.07.2025
9000000000000142 0.14185
9000000000000120 + 0.12
9000000000000318 + 0.32
9000000000000467 + 0.47
9000000000001856 + 1.86
Euro Corporate Bond Fund G FI0008803168
EUR
3
20250703000000 03.07.2025
9000000000000360 0.36042
9000000000000119 + 0.12
9000000000000315 + 0.31
9000000000000466 + 0.47
9000000000001857 + 1.86
Euro Government Bond Index Fund G FI0008810452
EUR
3
20250703000000 03.07.2025
9000000000001579 1.57907
9000000000000280 + 0.28
9000000000000014 + 0.01
8999999999999803 – 0.20
9000000000000822 + 0.82
Euro High Yield Fund D FI0008810171
EUR
2
20250703000000 03.07.2025
9000000000001033 1.03316
9000000000000046 + 0.05
9000000000000172 + 0.17
9000000000000342 + 0.34
9000000000002573 + 2.57
Euro High Yield Fund G FI0008810163
EUR
2
20250703000000 03.07.2025
9000000000002075 2.07504
9000000000000046 + 0.05
9000000000000172 + 0.17
9000000000000341 + 0.34
9000000000002571 + 2.57
Europe High Dividend Fund D FI0008805379
EUR
4
20250703000000 03.07.2025
9000000000037426 37.42630
8999999999999882 – 0.12
9000000000000648 + 0.65
8999999999998860 – 1.14
9000000000014445 + 14.44
Europe High Dividend Fund G FI0008804158
EUR
4
20250703000000 03.07.2025
9000000000102905 102.90489
8999999999999882 – 0.12
9000000000000648 + 0.65
8999999999998860 – 1.14
9000000000014484 + 14.48
Europe Small Cap Fund D FI0008802970
EUR
3
20250703000000 03.07.2025
9000000000000113 0.11284
9000000000000142 + 0.14
9000000000000535 + 0.53
9000000000000714 + 0.71
9000000000001148 + 1.15
Europe Small Cap Fund G FI0008802962
EUR
3
20250703000000 03.07.2025
9000000000000320 0.31980
9000000000000135 + 0.13
9000000000000528 + 0.53
9000000000000709 + 0.71
9000000000001193 + 1.19
European Corporate Green Bond Class A LU2019292965
EUR
0
20250703000000 03.07.2025
9000000000010562 10.562
9000000000000180 + 0.18
9000000000000256 + 0.26
9000000000000457 + 0.46
9000000000001704 + 1.70
European Corporate Sustainable Bond Class A LU1399304283
EUR
2
20250703000000 03.07.2025
9000000000010184 10.184
9000000000000226 + 0.23
9000000000000355 + 0.35
9000000000000503 + 0.50
9000000000001759 + 1.76
European Equity Fund D FI0008802996
EUR
3
20250703000000 03.07.2025
9000000000000203 0.20300
8999999999999661 – 0.34
9000000000000635 + 0.63
8999999999998745 – 1.25
9000000000006709 + 6.71
European Equity Fund G FI0008802988
EUR
3
20250703000000 03.07.2025
9000000000000643 0.64348
8999999999999664 – 0.34
9000000000000635 + 0.63
8999999999998746 – 1.25
9000000000006754 + 6.75
Finnish Equity Fund D FI0008803119
EUR
2
20250703000000 03.07.2025
9000000000000252 0.25152
8999999999999996 – 0.00
9000000000002490 + 2.49
9000000000002598 + 2.60
9000000000013325 + 13.32
Finnish Equity Fund G FI0008803101
EUR
2
20250703000000 03.07.2025
9000000000000815 0.81477
8999999999999999 – 0.00
9000000000002493 + 2.49
9000000000002599 + 2.60
9000000000013361 + 13.36
Finnish Equity Fund I D FI4000390976
EUR
2
20250703000000 03.07.2025
9000000000046649 46.64947
9000000000000000 + 0.00
9000000000002501 + 2.50
9000000000002637 + 2.64
9000000000013580 + 13.58
Finnish Equity Fund I G FI4000390968
EUR
2
20250703000000 03.07.2025
9000000000148700 148.70029
9000000000000000 + 0.00
9000000000002501 + 2.50
9000000000002637 + 2.64
9000000000013616 + 13.62
Global Emerging Markets, osuuslaji EUR DK0060564151
EUR
2
20250703000000 03.07.2025
9000000000014020 14.02
9000000000000574 + 0.57
8999999999999786 – 0.21
9000000000002560 + 2.56
9000000000000718 + 0.72
Global Equity Fund D FI0008802939
EUR
4
20250703000000 03.07.2025
9000000000000379 0.37850
9000000000000377 + 0.38
9000000000000952 + 0.95
9000000000000294 + 0.29
8999999999996495 – 3.51
Global Equity Fund G FI0008802921
EUR
4
20250703000000 03.07.2025
9000000000001097 1.09741
9000000000000376 + 0.38
9000000000000952 + 0.95
9000000000000294 + 0.29
8999999999996496 – 3.50
Institutional Liquidity Fund D FI0008803192
EUR
5
20250703000000 03.07.2025
9000000000017817 17.81678
9000000000000019 + 0.02
9000000000000081 + 0.08
9000000000000294 + 0.29
9000000000001747 + 1.75
Institutional Liquidity Fund G FI0008803184
EUR
5
20250703000000 03.07.2025
9000000000033787 33.78720
9000000000000019 + 0.02
9000000000000081 + 0.08
9000000000000294 + 0.29
9000000000001748 + 1.75
Institutional Liquidity Plus Fund D FI0008810379
EUR
5
20250703000000 03.07.2025
9000000000001013 1.01343
9000000000000028 + 0.03
9000000000000107 + 0.11
9000000000000331 + 0.33
9000000000001956 + 1.96
Institutional Liquidity Plus Fund G FI0008810361
EUR
5
20250703000000 03.07.2025
9000000000001568 1.56832
9000000000000028 + 0.03
9000000000000107 + 0.11
9000000000000331 + 0.33
9000000000001953 + 1.95
Japanese Equity Fund D FI0008802913
EUR
2
20250703000000 03.07.2025
9000000000000092 0.09217
8999999999999503 – 0.50
8999999999999935 – 0.07
8999999999997721 – 2.28
8999999999997758 – 2.24
Japanese Equity Fund G FI0008802905
EUR
2
20250703000000 03.07.2025
9000000000000263 0.26268
8999999999999504 – 0.50
8999999999999932 – 0.07
8999999999997720 – 2.28
8999999999997723 – 2.28
Kehittyvät Korkomarkkinat Paikallisvaluutta, osuuslaji EUR W DK0060910164
EUR
2
20250703000000 03.07.2025
9000000000011140 11.14
8999999999999553 – 0.45
9000000000000451 + 0.45
8999999999999642 – 0.36
8999999999999110 – 0.89
Kehittyvät Korkomarkkinat, paikallisvaluutta, osuuslaji EUR DK0060485522
EUR
3
20250703000000 03.07.2025
9000000000009960 9.96
9000000000000403 + 0.40
9000000000000201 + 0.20
8999999999999900 – 0.10
9000000000000000 + 0.00
Liquidity Fund D FI0008803077
EUR
4
20250703000000 03.07.2025
9000000000000157 0.15657
9000000000000019 + 0.02
9000000000000077 + 0.08
9000000000000275 + 0.28
9000000000001645 + 1.65
Liquidity Fund G FI0008803069
EUR
5
20250703000000 03.07.2025
9000000000000297 0.29694
9000000000000017 + 0.02
9000000000000078 + 0.08
9000000000000274 + 0.27
9000000000001643 + 1.64
MediLife Fund D FI0008802954
EUR
4
20250703000000 03.07.2025
9000000000000952 0.95181
8999999999999654 – 0.35
8999999999999600 – 0.40
8999999999998051 – 1.95
8999999999989064 – 10.94
MediLife Fund G FI0008802947
EUR
4
20250703000000 03.07.2025
9000000000002534 2.53409
8999999999999655 – 0.34
8999999999999601 – 0.40
8999999999998051 – 1.95
8999999999989015 – 10.98
Nordic Corporate Bond Plus Fund D FI0008804117
EUR
4
20250703000000 03.07.2025
9000000000017783 17.78269
9000000000000055 + 0.06
9000000000000179 + 0.18
9000000000000426 + 0.43
9000000000002463 + 2.46
Nordic Corporate Bond Plus Fund G FI0008804109
EUR
4
20250703000000 03.07.2025
9000000000035023 35.02340
9000000000000055 + 0.06
9000000000000179 + 0.18
9000000000000426 + 0.43
9000000000002466 + 2.47
Pohjoisen Yrityslainat, osuuslaji EUR h DK0060500429
EUR
5
20250703000000 03.07.2025
9000000000012450 12.45
9000000000000000 + 0.00
9000000000000322 + 0.32
9000000000000484 + 0.48
9000000000002554 + 2.55
Reaalikorko Maailma, osuuslaji EUR h DK0060485282
EUR
3
20250703000000 03.07.2025
9000000000011990 11.99
9000000000000083 + 0.08
9000000000000000 – 0.00
9000000000000841 + 0.84
9000000000001696 + 1.70
Technology Index Fund D FI0008803150
EUR
5
20250703000000 03.07.2025
9000000000000726 0.72607
9000000000001061 + 1.06
9000000000001497 + 1.50
9000000000004807 + 4.81
8999999999997565 – 2.44
Technology Index Fund G FI0008803143
EUR
4
20250703000000 03.07.2025
9000000000001959 1.95937
9000000000001061 + 1.06
9000000000001498 + 1.50
9000000000004807 + 4.81
8999999999997619 – 2.38
USA Index Fund D FI0008803135
EUR
3
20250703000000 03.07.2025
9000000000000123 0.12289
9000000000000614 + 0.61
9000000000001579 + 1.58
9000000000001629 + 1.63
8999999999994398 – 5.60
USA Index Fund G FI0008803127
EUR
3
20250703000000 03.07.2025
9000000000000370 0.37002
9000000000000617 + 0.62
9000000000001578 + 1.58
9000000000001632 + 1.63
8999999999994419 – 5.58
USA Index Fund I D FI4000391016
EUR
3
20250703000000 03.07.2025
9000000000002741 2.74139
9000000000000617 + 0.62
9000000000001580 + 1.58
9000000000001635 + 1.64
8999999999994419 – 5.58
USA Index Fund I G FI4000391008
EUR
3
20250703000000 03.07.2025
9000000000006790 6.79015
9000000000000617 + 0.62
9000000000001580 + 1.58
9000000000001635 + 1.64
8999999999994443 – 5.56