| LIGA-PAX-Aktien-Union |
90.0
|
9.2
|
AAA
|
| Cadmos-Balanced CHF |
89.9
|
8.2
|
AA
|
| iMGP - iMGP Sustainable Europe Fund |
89.9
|
9.0
|
AAA
|
| Alger Growth & Income Portfolio |
89.9
|
7.3
|
AA
|
| Essential Portfolio Selection - US Equity |
89.9
|
7.9
|
AA
|
| Invesco Growth and Income Fund |
89.9
|
8.6
|
AAA
|
| Amundi Funds - Euro Corporate Bond Select |
89.9
|
7.6
|
AA
|
| SERI-VALUE FUNDS - America Equity (USD) |
89.9
|
7.9
|
AA
|
| Aegon AM Investment Company (Ireland) plc - Investment Grade Global Bond |
89.8
|
8.2
|
AA
|
| SPDR Series Trust - SPDR Dow Jones REIT ETF |
89.8
|
7.0
|
A
|
| Allianz GIF - Global Floating Rate Notes Plus |
89.8
|
8.2
|
AA
|
| Aubrey Capital Management Access Fund - Global EM Opportunities Fund |
89.8
|
6.5
|
A
|
| Kathrein Sustainable Global Equity |
89.8
|
8.2
|
AA
|
| OMR HSBC Europe Ex-UK Eq |
89.8
|
9.2
|
AAA
|
| OMR HSBC Europe Ex-UK Eq Pn |
89.8
|
9.2
|
AAA
|
| HSBC Investment Funds - Europe Ex-UK Equity Fund |
89.8
|
9.2
|
AAA
|
| WS Montanaro Europe (ex-UK) Small and Mid-Cap |
89.8
|
7.8
|
AA
|
| Sterling Tracker Protected Profits |
89.8
|
8.0
|
AA
|
| UBS (CH) Equity Fund - European Opportunity Sustainable (EUR) |
89.8
|
8.7
|
AAA
|
| Amundi Funds - European Equity Dynamic Multi Factors |
89.8
|
9.1
|
AAA
|
| Pluvalca Multimanagers |
89.7
|
6.8
|
A
|
| R-co Sérénité PEA |
89.7
|
8.1
|
AA
|
| Capital Group Growth ETF |
89.7
|
6.8
|
A
|
| UniGlobal Vorsorge |
89.7
|
6.9
|
A
|
| FTIF - Franklin U.S. Low Duration Fund |
89.7
|
6.1
|
A
|
| Ser Intrinsic Opp |
89.7
|
8.4
|
AA
|
| Metzler Multi Asset Dynamic |
89.7
|
8.5
|
AA
|
| UTM IE USD Schroder ISF QEP Global Active Value |
89.7
|
7.6
|
AA
|
| IFSL CAF Investment Fund OEIC - IFSL CAF UK Equity |
89.7
|
8.7
|
AAA
|
| ZUR HSBC World Selection Portfolio 1 GBP |
89.7
|
6.4
|
A
|
| Tikehau 2025 |
89.7
|
7.1
|
AA
|
| HSBC Horizont 16+ |
89.6
|
7.8
|
AA
|
| IFSL Bowland |
89.6
|
7.9
|
AA
|
| S-Bank Europe Equity |
89.6
|
9.0
|
AAA
|
| GLOBAL BEST SELECTION |
89.6
|
5.8
|
A
|
| Liontrust Global Fundamental Plc - Liontrust GF Tortoise Fund |
89.6
|
7.2
|
AA
|
| UBS (Lux) Equity SICAV - Active Climate Aware (USD) |
89.6
|
7.5
|
AA
|
| OMR T.Bailey Dynamic |
89.6
|
7.6
|
AA
|
| OMR T.Bailey Dynamic Life |
89.6
|
7.6
|
AA
|
| Beka European Stock, FI |
89.6
|
8.8
|
AAA
|
| UBS (CH) Index Fund - Equities Switzerland NSL |
89.6
|
8.9
|
AAA
|
| WS T. Bailey Funds - WS T. Bailey Multi-Asset Dynamic Fund |
89.6
|
7.6
|
AA
|
| Mediolanum Best Brands - Global Small Cap Equity |
89.5
|
8.2
|
AA
|
| KraneShares MSCI China ESG Leaders Index ETF |
89.5
|
8.3
|
AA
|
| FBG Ertragsorientiert Realwirtschaft ESG |
89.5
|
7.5
|
AA
|
| BNP Paribas Apollo Global Clean Energy |
89.5
|
8.0
|
AA
|
| Aviva Life Defensive Distribution MLC |
89.5
|
6.9
|
A
|
| Amundi Top World |
89.5
|
8.0
|
AA
|
| ReAssure AL Margetts GWM Cautious Pn |
89.5
|
7.3
|
AA
|
| VT Greystone Cautious Managed |
89.5
|
7.3
|
AA
|
| Aviva Investors Funds ACS - Aviva Investors Japan Equity Core Fund |
89.5
|
10.0
|
AAA
|
| Canlife Diversified Monthly Income Pn |
89.5
|
8.5
|
AA
|
| WS Canada Life Investments Fund II - WS Canlife Diversified Monthly Income |
89.5
|
8.5
|
AA
|
| Santander UK Growth Unit Trust |
89.5
|
8.6
|
AAA
|
| Aviva Pension Investment Pathway 3 Pension |
89.4
|
7.8
|
AA
|
| Aviva Pension Investment Pathway 3 AP 03 |
89.4
|
7.8
|
AA
|
| Aviva My Future Drawdown AP 02 Pn |
89.4
|
7.8
|
AA
|
| Rockefeller Cap. Management UCITS ICAV - Gbl. Improve Eq. UCITS |
89.4
|
8.9
|
AAA
|
| abrdn SICAV I - Emerging Markets Infrastructure Equity Fund |
89.4
|
6.1
|
A
|
| UTM IM USD abrdn SICAV I Infrastructure |
89.4
|
6.1
|
A
|
| Columbia Threadneedle Investment Funds (UK) ICVC - CT UK Equity Opportunities |
89.4
|
9.4
|
AAA
|
| Zurich UK Growth & Income |
89.4
|
9.4
|
AAA
|
| UniNordamerika |
89.4
|
6.8
|
A
|
| SG Actions Monde Selection |
89.4
|
8.0
|
AA
|
| HIL (S2) Ninety One Global Strategic Managed |
89.4
|
6.8
|
A
|
| HIL Ninety One Global Strategic Managed |
89.4
|
6.8
|
A
|
| Ninety One Global Strategy Fund - Global Strategic Managed Fund |
89.4
|
6.8
|
A
|
| HEL Ninety One Global Strategic Managed |
89.4
|
6.8
|
A
|
| Amundi PEA S&P 500 UCITS ETF |
89.4
|
7.5
|
AA
|
| MLC MasterKey Pension Fundamentals (Pre Retirement) - MLC Aggressive |
89.4
|
8.8
|
AAA
|
| MLC MasterKey Term Allocated Pension - MLC Aggressive |
89.4
|
8.8
|
AAA
|
| MLC MasterKey Pension Fundamentals - MLC Aggressive |
89.4
|
8.8
|
AAA
|
| UniFavorit: Aktien |
89.4
|
8.2
|
AA
|
| AZ Multi Asset - AZ Allocation - Future Generations Balanced |
89.4
|
6.8
|
A
|
| UBS (Irl) ETF plc - UBS S&P USA Dividend Aristocrats ESG Elite UCITS ETF |
89.4
|
7.5
|
AA
|
| MWM SICAV - BOND OPPORTUNITES |
89.4
|
7.7
|
AA
|
| Phoenix Wealth Elite Japan |
89.3
|
8.7
|
AAA
|
| BBBank Kontinuität Union |
89.3
|
7.4
|
AA
|
| Tabula ICAV - Tabula EUR HY Bond Paris-Aligned Climate UCITS ETF (EUR) |
89.3
|
8.5
|
AA
|
| Indosuez Funds - FII Euro Equity Opportunities |
89.3
|
8.8
|
AAA
|
| First Class - Global Equities |
89.3
|
6.8
|
A
|
| Danske Invest Euro Corporate Bond Fund |
89.3
|
7.4
|
AA
|
| Aegon BlackRock 50/50 Equity and Bond Tracker Pn |
89.3
|
7.4
|
AA
|
| Aegon BlackRock 50/50 Equity and Bond Tracker Lifestyle Pn |
89.3
|
7.4
|
AA
|
| Aegon 50/50 Bond & Equity Index Lifestyle (ARC) Pn |
89.3
|
7.4
|
AA
|
| Aegon BlackRock 50/50 Equity and Bond Tracker (ARC) Pn |
89.3
|
7.4
|
AA
|
| Morgan Stanley Investment Funds - Asia Equity Fund |
89.3
|
6.5
|
A
|
| UBS (CH) Inv. Fund - Equities UK Passive |
89.3
|
9.0
|
AAA
|
| Sustainable Value Fund |
89.3
|
8.6
|
AAA
|
| Fidelity Advisor Real Estate Fund |
89.3
|
8.0
|
AA
|
| DWS Concept - DWS Concept Kaldemorgen |
89.3
|
7.1
|
A
|
| Amundi Soluzioni Italia - Progetto Cedola 10/2023 |
89.2
|
6.7
|
A
|
| Goldman Sachs F. SICAV - Global Real Estate Equity Portfolio |
89.2
|
6.4
|
A
|
| LLB Invest AGmvK - LLB Strategie Rendite (CHF) |
89.2
|
7.3
|
AA
|
| College Fonds |
89.2
|
6.4
|
A
|
| TM Redwheel Funds - TM Redwheel Global Equity Income Fund |
89.2
|
8.2
|
AA
|
| Schroder Prime UK Equity Fund |
89.2
|
8.6
|
AAA
|
| Monega BestInvest Europa |
89.2
|
8.6
|
AA
|
| Multi Units France - Amundi MSCI Europe UCITS ETF |
89.2
|
8.6
|
AA
|
| Aviva Life Mixed Investment (0 - 35% Shares) |
89.2
|
6.9
|
A
|