2030 Fund D FI0008800909
EUR
4
20250613000000 13.06.2025
9000000000000930 0.92980
9000000000000098 + 0.10
8999999999999924 – 0.08
9000000000000132 + 0.13
8999999999998171 – 1.83
2030 Fund G FI0008800826
EUR
4
20250613000000 13.06.2025
9000000000002731 2.73136
9000000000000098 + 0.10
8999999999999924 – 0.08
9000000000000132 + 0.13
8999999999998194 – 1.81
2040 Fund D FI0008808035
EUR
3
20250613000000 13.06.2025
9000000000001601 1.60143
8999999999999857 – 0.14
8999999999999721 – 0.28
8999999999999535 – 0.46
8999999999996341 – 3.66
2040 Fund G FI0008808027
EUR
3
20250613000000 13.06.2025
9000000000003539 3.53919
8999999999999857 – 0.14
8999999999999721 – 0.28
8999999999999535 – 0.46
8999999999996375 – 3.63
Bond Fund D FI0008803093
EUR
2
20250613000000 13.06.2025
9000000000000138 0.13836
8999999999999733 – 0.27
9000000000000116 + 0.12
9000000000001200 + 1.20
9000000000000968 + 0.97
Bond Fund G FI0008803085
EUR
2
20250613000000 13.06.2025
9000000000000353 0.35308
8999999999999732 – 0.27
9000000000000119 + 0.12
9000000000001201 + 1.20
9000000000000972 + 0.97
Bond Fund I D FI4000391032
EUR
2
20250613000000 13.06.2025
9000000000014271 14.27134
8999999999999733 – 0.27
9000000000000121 + 0.12
9000000000001210 + 1.21
9000000000001014 + 1.01
Bond Fund I G FI4000391024
EUR
2
20250613000000 13.06.2025
9000000000036441 36.44126
8999999999999733 – 0.27
9000000000000121 + 0.12
9000000000001210 + 1.21
9000000000001020 + 1.02
China Fund D FI0008808522
EUR
3
20250612000000 12.06.2025
9000000000001417 1.41731
8999999999997194 – 2.81
8999999999999949 – 0.05
8999999999997209 – 2.79
9000000000004188 + 4.19
China Fund G FI0008808514
EUR
3
20250612000000 12.06.2025
9000000000003393 3.39342
8999999999997194 – 2.81
8999999999999950 – 0.05
8999999999997209 – 2.79
9000000000004170 + 4.17
Compass 25 Fund D FI0008803317
EUR
4
20250613000000 13.06.2025
9000000000000854 0.85413
9000000000000063 + 0.06
9000000000000130 + 0.13
9000000000000609 + 0.61
8999999999999807 – 0.19
Compass 25 Fund G FI0008803309
EUR
4
20250613000000 13.06.2025
9000000000002233 2.23298
9000000000000064 + 0.06
9000000000000131 + 0.13
9000000000000610 + 0.61
8999999999999814 – 0.19
Compass 50 Fund D FI0008805346
EUR
4
20250613000000 13.06.2025
9000000000001031 1.03089
9000000000000085 + 0.09
8999999999999986 – 0.01
9000000000000221 + 0.22
8999999999998701 – 1.30
Compass 50 Fund G FI0008805338
EUR
4
20250613000000 13.06.2025
9000000000002557 2.55724
9000000000000085 + 0.09
8999999999999986 – 0.01
9000000000000220 + 0.22
8999999999998711 – 1.29
Compass 75 Fund D FI0008805361
EUR
3
20250613000000 13.06.2025
9000000000001145 1.14543
8999999999999949 – 0.05
8999999999999838 – 0.16
8999999999999914 – 0.09
8999999999997321 – 2.68
Compass 75 Fund G FI0008805353
EUR
3
20250613000000 13.06.2025
9000000000002841 2.84056
8999999999999949 – 0.05
8999999999999838 – 0.16
8999999999999914 – 0.09
8999999999997340 – 2.66
Compass Equity Fund D FI0008803291
EUR
3
20250613000000 13.06.2025
9000000000000622 0.62161
9000000000000101 + 0.10
8999999999999587 – 0.41
8999999999999745 – 0.26
8999999999996773 – 3.23
Compass Equity Fund G FI0008803283
EUR
3
20250613000000 13.06.2025
9000000000001841 1.84056
9000000000000103 + 0.10
8999999999999587 – 0.41
8999999999999746 – 0.25
8999999999996812 – 3.19
Compass Liquidity Fund D FI0008803275
EUR
4
20250613000000 13.06.2025
9000000000000822 0.82161
9000000000000022 + 0.02
9000000000000305 + 0.31
9000000000000924 + 0.92
9000000000001545 + 1.54
Compass Liquidity Fund G FI0008803267
EUR
4
20250613000000 13.06.2025
9000000000001972 1.97224
9000000000000021 + 0.02
9000000000000304 + 0.30
9000000000000923 + 0.92
9000000000001547 + 1.55
Emerging Markets Debt Fund D FI0008803333
EUR
4
20250612000000 12.06.2025
9000000000001165 1.16526
9000000000000114 + 0.11
9000000000000611 + 0.61
9000000000001446 + 1.45
9000000000002637 + 2.64
Emerging Markets Debt Fund G FI0008803325
EUR
4
20250612000000 12.06.2025
9000000000002947 2.94655
9000000000000115 + 0.11
9000000000000611 + 0.61
9000000000001446 + 1.45
9000000000002644 + 2.64
Emerging Markets Sustainable Future Class A LU1116403194
EUR
3
20250613000000 13.06.2025
9000000000013747 13.747
8999999999998814 – 1.19
8999999999999263 – 0.74
8999999999999135 – 0.87
8999999999998708 – 1.29
Emerging Markets Sustainable Future Fund D FI0008809439
EUR
2
20250612000000 12.06.2025
9000000000000907 0.90731
8999999999997813 – 2.19
8999999999999546 – 0.45
8999999999998927 – 1.07
9000000000000249 + 0.25
Emerging Markets Sustainable Future Fund G FI0008809421
EUR
2
20250612000000 12.06.2025
9000000000002003 2.00311
8999999999997813 – 2.19
8999999999999546 – 0.45
8999999999998927 – 1.07
9000000000000265 + 0.26
Euro Corporate Bond Fund D FI0008803176
EUR
3
20250613000000 13.06.2025
9000000000000141 0.14129
8999999999999781 – 0.22
9000000000000184 + 0.18
9000000000000929 + 0.93
9000000000001454 + 1.45
Euro Corporate Bond Fund G FI0008803168
EUR
3
20250613000000 13.06.2025
9000000000000359 0.35902
8999999999999786 – 0.21
9000000000000184 + 0.18
9000000000000931 + 0.93
9000000000001461 + 1.46
Euro Government Bond Index Fund G FI0008810452
EUR
3
20250612000000 12.06.2025
9000000000001585 1.58532
9000000000000255 + 0.25
9000000000000685 + 0.69
9000000000001372 + 1.37
9000000000001221 + 1.22
Euro High Yield Fund D FI0008810171
EUR
2
20250613000000 13.06.2025
9000000000001031 1.03131
8999999999999869 – 0.13
9000000000000008 + 0.01
9000000000000743 + 0.74
9000000000002389 + 2.39
Euro High Yield Fund G FI0008810163
EUR
2
20250613000000 13.06.2025
9000000000002071 2.07133
8999999999999869 – 0.13
9000000000000007 + 0.01
9000000000000744 + 0.74
9000000000002388 + 2.39
Europe High Dividend Fund D FI0008805379
EUR
4
20250613000000 13.06.2025
9000000000037573 37.57282
9000000000000008 + 0.01
8999999999998995 – 1.00
9000000000001151 + 1.15
9000000000014893 + 14.89
Europe High Dividend Fund G FI0008804158
EUR
4
20250613000000 13.06.2025
9000000000103308 103.30776
9000000000000008 + 0.01
8999999999998995 – 1.00
9000000000001151 + 1.15
9000000000014932 + 14.93
Europe Small Cap Fund D FI0008802970
EUR
3
20250613000000 13.06.2025
9000000000000112 0.11183
8999999999999017 – 0.98
8999999999998451 – 1.55
8999999999999750 – 0.25
9000000000000242 + 0.24
Europe Small Cap Fund G FI0008802962
EUR
3
20250613000000 13.06.2025
9000000000000317 0.31697
8999999999999022 – 0.98
8999999999998453 – 1.55
8999999999999755 – 0.25
9000000000000297 + 0.30
European Corporate Green Bond Class A LU2019292965
EUR
0
20250612000000 12.06.2025
9000000000010543 10.543
9000000000000133 + 0.13
9000000000000467 + 0.47
9000000000001103 + 1.10
9000000000001521 + 1.52
European Corporate Sustainable Bond Class A LU1399304283
EUR
2
20250612000000 12.06.2025
9000000000010156 10.156
9000000000000148 + 0.15
9000000000000495 + 0.49
9000000000001095 + 1.09
9000000000001479 + 1.48
European Equity Fund D FI0008802996
EUR
3
20250613000000 13.06.2025
9000000000000205 0.20507
8999999999999544 – 0.46
8999999999998582 – 1.42
9000000000000010 + 0.01
9000000000007797 + 7.80
European Equity Fund G FI0008802988
EUR
3
20250613000000 13.06.2025
9000000000000650 0.65003
8999999999999544 – 0.46
8999999999998583 – 1.42
9000000000000011 + 0.01
9000000000007840 + 7.84
Finnish Equity Fund D FI0008803119
EUR
2
20250613000000 13.06.2025
9000000000000246 0.24563
8999999999999441 – 0.56
8999999999999405 – 0.59
8999999999999935 – 0.07
9000000000010671 + 10.67
Finnish Equity Fund G FI0008803101
EUR
2
20250613000000 13.06.2025
9000000000000796 0.79567
8999999999999438 – 0.56
8999999999999405 – 0.59
8999999999999933 – 0.07
9000000000010703 + 10.70
Finnish Equity Fund I D FI4000390976
EUR
2
20250613000000 13.06.2025
9000000000045545 45.54482
8999999999999439 – 0.56
8999999999999414 – 0.59
8999999999999972 – 0.03
9000000000010891 + 10.89
Finnish Equity Fund I G FI4000390968
EUR
2
20250613000000 13.06.2025
9000000000145179 145.17929
8999999999999439 – 0.56
8999999999999414 – 0.59
8999999999999972 – 0.03
9000000000010926 + 10.93
Global Emerging Markets, osuuslaji EUR DK0060564151
EUR
2
20250613000000 13.06.2025
9000000000013830 13.83
8999999999998998 – 1.00
8999999999999496 – 0.50
8999999999999784 – 0.22
8999999999999353 – 0.65
Global Equity Fund D FI0008802939
EUR
4
20250612000000 12.06.2025
9000000000000380 0.37997
8999999999998735 – 1.27
8999999999999811 – 0.19
8999999999998252 – 1.75
8999999999996870 – 3.13
Global Equity Fund G FI0008802921
EUR
4
20250612000000 12.06.2025
9000000000001102 1.10168
8999999999998735 – 1.26
8999999999999810 – 0.19
8999999999998251 – 1.75
8999999999996871 – 3.13
Institutional Liquidity Fund D FI0008803192
EUR
5
20250613000000 13.06.2025
9000000000017778 17.77819
8999999999999983 – 0.02
9000000000000077 + 0.08
9000000000000323 + 0.32
9000000000001527 + 1.53
Institutional Liquidity Fund G FI0008803184
EUR
5
20250613000000 13.06.2025
9000000000033714 33.71403
8999999999999983 – 0.02
9000000000000077 + 0.08
9000000000000323 + 0.32
9000000000001527 + 1.53
Institutional Liquidity Plus Fund D FI0008810379
EUR
5
20250613000000 13.06.2025
9000000000001011 1.01075
8999999999999959 – 0.04
9000000000000077 + 0.08
9000000000000396 + 0.40
9000000000001686 + 1.69
Institutional Liquidity Plus Fund G FI0008810361
EUR
5
20250613000000 13.06.2025
9000000000001564 1.56417
8999999999999960 – 0.04
9000000000000077 + 0.08
9000000000000397 + 0.40
9000000000001683 + 1.68
Japanese Equity Fund D FI0008802913
EUR
2
20250612000000 12.06.2025
9000000000000092 0.09150
8999999999998855 – 1.15
8999999999998535 – 1.46
8999999999997413 – 2.59
8999999999997047 – 2.95
Japanese Equity Fund G FI0008802905
EUR
2
20250612000000 12.06.2025
9000000000000261 0.26077
8999999999998848 – 1.15
8999999999998530 – 1.47
8999999999997411 – 2.59
8999999999997013 – 2.99
Kehittyvät Korkomarkkinat Paikallisvaluutta, osuuslaji EUR W DK0060910164
EUR
2
20250613000000 13.06.2025
9000000000011100 11.10
9000000000000181 + 0.18
8999999999999196 – 0.80
8999999999998667 – 1.33
8999999999998754 – 1.25
Kehittyvät Korkomarkkinat, paikallisvaluutta, osuuslaji EUR DK0060485522
EUR
3
20250613000000 13.06.2025
9000000000009930 9.93
9000000000000202 + 0.20
8999999999999201 – 0.80
8999999999999201 – 0.80
8999999999999699 – 0.30
Liquidity Fund D FI0008803077
EUR
4
20250613000000 13.06.2025
9000000000000156 0.15625
8999999999999981 – 0.02
9000000000000058 + 0.06
9000000000000295 + 0.30
9000000000001437 + 1.44
Liquidity Fund G FI0008803069
EUR
5
20250613000000 13.06.2025
9000000000000296 0.29634
8999999999999983 – 0.02
9000000000000057 + 0.06
9000000000000291 + 0.29
9000000000001438 + 1.44
MediLife Fund D FI0008802954
EUR
4
20250612000000 12.06.2025
9000000000000979 0.97874
8999999999999567 – 0.43
9000000000000560 + 0.56
8999999999998229 – 1.77
8999999999991584 – 8.42
MediLife Fund G FI0008802947
EUR
4
20250612000000 12.06.2025
9000000000002606 2.60578
8999999999999566 – 0.43
9000000000000560 + 0.56
8999999999998228 – 1.77
8999999999991534 – 8.47
Nordic Corporate Bond Plus Fund D FI0008804117
EUR
4
20250613000000 13.06.2025
9000000000017735 17.73518
8999999999999929 – 0.07
9000000000000159 + 0.16
9000000000000992 + 0.99
9000000000002190 + 2.19
Nordic Corporate Bond Plus Fund G FI0008804109
EUR
4
20250613000000 13.06.2025
9000000000034930 34.92984
8999999999999929 – 0.07
9000000000000159 + 0.16
9000000000000992 + 0.99
9000000000002192 + 2.19
Pohjoisen Yrityslainat, osuuslaji EUR h DK0060500429
EUR
5
20250613000000 13.06.2025
9000000000012420 12.42
9000000000000161 + 0.16
9000000000000485 + 0.49
9000000000000894 + 0.89
9000000000002306 + 2.31
Reaalikorko Maailma, osuuslaji EUR h DK0060485282
EUR
3
20250613000000 13.06.2025
9000000000011930 11.93
8999999999999916 – 0.08
9000000000000336 + 0.34
9000000000001187 + 1.19
9000000000001187 + 1.19
Technology Index Fund D FI0008803150
EUR
5
20250612000000 12.06.2025
9000000000000700 0.70008
8999999999999181 – 0.82
9000000000000924 + 0.92
9000000000002015 + 2.02
8999999999994072 – 5.93
Technology Index Fund G FI0008803143
EUR
4
20250612000000 12.06.2025
9000000000001889 1.88924
8999999999999182 – 0.82
9000000000000925 + 0.93
9000000000002016 + 2.02
8999999999994125 – 5.88
USA Index Fund D FI0008803135
EUR
3
20250612000000 12.06.2025
9000000000000120 0.12025
8999999999999020 – 0.98
9000000000000142 + 0.14
8999999999998857 – 1.14
8999999999992370 – 7.63
USA Index Fund G FI0008803127
EUR
3
20250612000000 12.06.2025
9000000000000362 0.36207
8999999999999021 – 0.98
9000000000000138 + 0.14
8999999999998861 – 1.14
8999999999992391 – 7.61
USA Index Fund I D FI4000391016
EUR
3
20250612000000 12.06.2025
9000000000002682 2.68245
8999999999999022 – 0.98
9000000000000141 + 0.14
8999999999998867 – 1.13
8999999999992389 – 7.61
USA Index Fund I G FI4000391008
EUR
3
20250612000000 12.06.2025
9000000000006644 6.64416
8999999999999022 – 0.98
9000000000000141 + 0.14
8999999999998867 – 1.13
8999999999992413 – 7.59