2030 AFI0008800909
|
|
FI0008800909 |
Nyckelfonder, Global |
4 |
5 |
 |
|
9000000000019666+19,67 % |
 |
 |
2030 TFI0008800826
|
|
FI0008800826 |
Nyckelfonder, Global |
4 |
5 |
 |
|
9000000000019681+19,68 % |
 |
 |
2040 AFI0008808035
|
|
FI0008808035 |
Nyckelfonder, Global |
4 |
3 |
 |
|
9000000000021499+21,50 % |
 |
 |
2040 TFI0008808027
|
|
FI0008808027 |
Nyckelfonder, Global |
4 |
3 |
 |
|
9000000000021517+21,52 % |
 |
 |
China AFI0008808522
|
|
FI0008808522 |
Aktie, Kina |
5 |
3 |
 |
|
8999999999970800– 29,20 % |
 |
 |
China TFI0008808514
|
|
FI0008808514 |
Aktie, Kina |
5 |
3 |
 |
|
8999999999970802– 29,20 % |
 |
 |
ESG Aktie AFI0008802939
|
|
FI0008802939 |
Aktie, Global |
5 |
4 |
 |
|
9000000000029051+29,05 % |
 |
 |
ESG Aktie TFI0008802921
|
|
FI0008802921 |
Aktie, Global |
5 |
4 |
 |
|
9000000000028975+28,97 % |
 |
 |
Eastern Europe Konvergens AFI0008811260
|
|
FI0008811260 |
Aktie, Östeuropa |
4 |
3 |
 |
|
9000000000070882+70,88 % |
 |
 |
Eastern Europe Konvergens TFI0008811252
|
|
FI0008811252 |
Aktie, Östeuropa |
4 |
3 |
 |
|
9000000000070906+70,91 % |
 |
 |
Emerging Markets Debt AFI0008803333
|
|
FI0008803333 |
Lång ränta, Tillväxtmarknader |
5 |
3 |
 |
|
8999999999982037– 17,96 % |
 |
 |
Emerging Markets Debt TFI0008803325
|
|
FI0008803325 |
Lång ränta, Tillväxtmarknader |
5 |
3 |
 |
|
8999999999982084– 17,92 % |
 |
 |
Emerging Markets Sustainable Future AFI0008809439
|
|
FI0008809439 |
Aktie, Tillväxtmarknader |
4 |
3 |
|
 |
8999999999994469– 5,53 % |
 |
 |
Emerging Markets Sustainable Future Class ALU1116403194
|
|
LU1116403194 |
Aktie, Tillväxtmarknader |
4 |
3 |
|
 |
9000000000014378+14,38 % |
 |
 |
Emerging Markets Sustainable Future TFI0008809421
|
|
FI0008809421 |
Aktie, Tillväxtmarknader |
4 |
3 |
|
 |
8999999999994455– 5,54 % |
 |
 |
Euro Företagslån AFI0008803176
|
|
FI0008803176 |
Lång ränta, Europa |
3 |
3 |
 |
|
8999999999988244– 11,76 % |
 |
 |
Euro Företagslån TFI0008803168
|
|
FI0008803168 |
Lång ränta, Europa |
3 |
3 |
 |
|
8999999999988223– 11,78 % |
 |
 |
Euro Government Bond Index TFI0008810452
|
|
FI0008810452 |
Lång ränta, Europa |
3 |
3 |
 |
|
8999999999982572– 17,43 % |
 |
 |
Euro High Yield AFI0008810171
|
|
FI0008810171 |
Lång ränta, Europa |
5 |
2 |
 |
|
8999999999996272– 3,73 % |
 |
 |
Euro High Yield TFI0008810163
|
|
FI0008810163 |
Lång ränta, Europa |
5 |
2 |
 |
|
8999999999996274– 3,73 % |
 |
 |
Europa Aktie AFI0008802996
|
|
FI0008802996 |
Aktie, Europa |
4 |
4 |
 |
|
9000000000027923+27,92 % |
 |
 |
Europa Aktie TFI0008802988
|
|
FI0008802988 |
Aktie, Europa |
4 |
4 |
 |
|
9000000000027917+27,92 % |
 |
 |
Europa Dividend AFI0008805379
|
|
FI0008805379 |
Aktie, Europa |
4 |
4 |
 |
|
9000000000030517+30,52 % |
 |
 |
Europa Dividend TFI0008804158
|
|
FI0008804158 |
Aktie, Europa |
4 |
4 |
 |
|
9000000000030488+30,49 % |
 |
 |
Europa Småföretag AFI0008802970
|
|
FI0008802970 |
Aktie, Europa |
4 |
3 |
 |
|
9000000000008757+8,76 % |
 |
 |
Europa Småföretag TFI0008802962
|
|
FI0008802962 |
Aktie, Europa |
4 |
3 |
 |
|
9000000000008784+8,78 % |
 |
 |
European Corporate Sustainable Bond Class ALU1399304283
|
|
LU1399304283 |
Lång ränta, Europa |
3 |
1 |
|
 |
8999999999988632– 11,37 % |
|
 |
Finland Aktie AFI0008803119
|
|
FI0008803119 |
Aktie, Finland |
5 |
1 |
 |
|
9000000000010865+10,87 % |
 |
 |
Finland Aktie I AFI4000390976
|
|
FI4000390976 |
Aktie, Finland |
5 |
1 |
 |
|
9000000000012378+12,38 % |
 |
 |
Finland Aktie I TFI4000390968
|
|
FI4000390968 |
Aktie, Finland |
5 |
3 |
 |
|
9000000000012374+12,37 % |
 |
 |
Finland Aktie TFI0008803101
|
|
FI0008803101 |
Aktie, Finland |
5 |
1 |
 |
|
9000000000010861+10,86 % |
 |
 |
Global Corporate Sustainable Bond Class ALU2019292965
|
|
LU2019292965 |
Lång ränta, Global |
3 |
|
|
 |
8999999999996532– 3,47 % |
 |
 |
Global Emerging Markets, osuuslaji EURDK0060564151
|
|
DK0060564151 |
Aktie, Tillväxtmarknader |
4 |
3 |
 |
|
8999999999994964– 5,04 % |
|
 |
India AFI0008810981
|
|
FI0008810981 |
Aktie, Indien |
4 |
1 |
 |
|
9000000000032309+32,31 % |
 |
 |
India TFI0008810999
|
|
FI0008810999 |
Aktie, Indien |
4 |
1 |
 |
|
9000000000032284+32,28 % |
 |
 |
Japan Aktie AFI0008802913
|
|
FI0008802913 |
Aktie, Japan |
4 |
4 |
 |
|
9000000000036865+36,87 % |
 |
 |
Japan Aktie TFI0008802905
|
|
FI0008802905 |
Aktie, Japan |
4 |
4 |
 |
|
9000000000036819+36,82 % |
 |
 |
Kehittyvät Korkomarkkinat Paikallisvaluutta, osuuslaji EURDK0060485522
|
|
DK0060485522 |
Lång ränta, Tillväxtmarknader |
3 |
2 |
 |
|
9000000000001699+1,70 % |
|
 |
Kehittyvät Korkomarkkinat Paikallisvaluutta, osuuslaji EUR WDK0060910164
|
|
DK0060910164 |
Lång ränta, Tillväxtmarknader |
3 |
2 |
 |
|
9000000000003054+3,05 % |
|
 |
Kompass 25 AFI0008803317
|
|
FI0008803317 |
Nyckelfonder, Global |
3 |
4 |
 |
|
8999999999998893– 1,11 % |
 |
 |
Kompass 25 TFI0008803309
|
|
FI0008803309 |
Nyckelfonder, Global |
3 |
4 |
 |
|
8999999999998888– 1,11 % |
 |
 |
Kompass 50 AFI0008805346
|
|
FI0008805346 |
Nyckelfonder, Global |
3 |
4 |
 |
|
9000000000006845+6,85 % |
 |
 |
Kompass 50 TFI0008805338
|
|
FI0008805338 |
Nyckelfonder, Global |
3 |
4 |
 |
|
9000000000006846+6,85 % |
 |
 |
Kompass 75 AFI0008805361
|
|
FI0008805361 |
Nyckelfonder, Global |
4 |
4 |
 |
|
9000000000016678+16,68 % |
 |
 |
Kompass 75 TFI0008805353
|
|
FI0008805353 |
Nyckelfonder, Global |
4 |
4 |
 |
|
9000000000016686+16,69 % |
 |
 |
Kompass Aktie AFI0008803291
|
|
FI0008803291 |
Nyckelfonder, Global |
4 |
2 |
 |
|
9000000000022051+22,05 % |
 |
 |
Kompass Aktie TFI0008803283
|
|
FI0008803283 |
Nyckelfonder, Global |
4 |
2 |
 |
|
9000000000022069+22,07 % |
 |
 |
Kompass Ränta AFI0008803275
|
|
FI0008803275 |
Nyckelfonder, Global |
2 |
4 |
 |
|
8999999999987923– 12,08 % |
 |
 |
Kompass Ränta TFI0008803267
|
|
FI0008803267 |
Nyckelfonder, Global |
2 |
4 |
 |
|
8999999999987921– 12,08 % |
 |
 |
MediLife AFI0008802954
|
|
FI0008802954 |
Aktie, Global |
4 |
4 |
 |
|
9000000000033376+33,38 % |
 |
 |
MediLife TFI0008802947
|
|
FI0008802947 |
Aktie, Global |
4 |
4 |
 |
|
9000000000033354+33,35 % |
 |
 |
Multi Asset Inflation Strategy Class ALU1916065078
|
|
LU1916065078 |
Blandfonder, Global |
3 |
3 |
 |
|
8999999999998406– 1,59 % |
 |
 |
Nordiska Företagsobligationer Plus AFI0008804117
|
|
FI0008804117 |
Lång ränta, Norden |
3 |
3 |
 |
|
8999999999995668– 4,33 % |
 |
 |
Nordiska Företagsobligationer Plus TFI0008804109
|
|
FI0008804109 |
Lång ränta, Norden |
3 |
3 |
 |
|
8999999999995665– 4,34 % |
 |
 |
Obligation AFI0008803093
|
|
FI0008803093 |
Lång ränta, Europa |
3 |
2 |
 |
|
8999999999980967– 19,03 % |
 |
 |
Obligation I AFI4000391032
|
|
FI4000391032 |
Lång ränta, Europa |
3 |
1 |
 |
|
8999999999981212– 18,79 % |
 |
 |
Obligation I TFI4000391024
|
|
FI4000391024 |
Lång ränta, Europa |
3 |
2 |
 |
|
8999999999981183– 18,82 % |
 |
 |
Obligation TFI0008803085
|
|
FI0008803085 |
Lång ränta, Europa |
3 |
2 |
 |
|
8999999999980937– 19,06 % |
 |
 |
Pohjoisen Yrityslainat, osuuslaji EUR hDK0060500429
|
|
DK0060500429 |
Lång ränta, Norden |
3 |
5 |
 |
|
8999999999998223– 1,78 % |
|
 |
Reaalikorko Maailma, osuuslaji EUR hDK0060485282
|
|
DK0060485282 |
Lång ränta, Global |
3 |
4 |
 |
|
8999999999985683– 14,32 % |
|
|
Ränta AFI0008803077
|
|
FI0008803077 |
Kort ränta, Europa |
2 |
4 |
 |
|
9000000000002195+2,20 % |
 |
 |
Ränta TFI0008803069
|
|
FI0008803069 |
Kort ränta, Europa |
2 |
4 |
 |
|
9000000000002193+2,19 % |
 |
 |
Samfundsränta AFI0008803192
|
|
FI0008803192 |
Kort ränta, Europa |
2 |
5 |
 |
|
9000000000002526+2,53 % |
 |
 |
Samfundsränta Plus AFI0008810379
|
|
FI0008810379 |
Kort ränta, Europa |
2 |
4 |
 |
|
9000000000002028+2,03 % |
 |
 |
Samfundsränta Plus TFI0008810361
|
|
FI0008810361 |
Kort ränta, Europa |
2 |
4 |
 |
|
9000000000002027+2,03 % |
 |
 |
Samfundsränta TFI0008803184
|
|
FI0008803184 |
Kort ränta, Europa |
2 |
5 |
 |
|
9000000000002526+2,53 % |
 |
 |
Teknologi Index AFI0008803150
|
|
FI0008803150 |
Aktie, Global |
5 |
5 |
 |
|
9000000000037924+37,92 % |
 |
 |
Teknologi Index TFI0008803143
|
|
FI0008803143 |
Aktie, Global |
5 |
5 |
 |
|
9000000000037787+37,79 % |
 |
 |
USA Index AFI0008803135
|
|
FI0008803135 |
Aktie, Nordamerika |
5 |
2 |
 |
|
9000000000043782+43,78 % |
 |
 |
USA Index I AFI4000391016
|
|
FI4000391016 |
Aktie, Nordamerika |
5 |
2 |
 |
|
9000000000044150+44,15 % |
 |
 |
USA Index I TFI4000391008
|
|
FI4000391008 |
Aktie, Nordamerika |
5 |
3 |
 |
|
9000000000044059+44,06 % |
 |
 |
USA Index TFI0008803127
|
|
FI0008803127 |
Aktie, Nordamerika |
5 |
2 |
 |
|
9000000000043694+43,69 % |
 |
 |