| Storebrand Fremtid 50 |
9.8
|
7.4
|
AA
|
| iShares MSCI Germany ETF |
126.2
|
7.4
|
AA
|
| American Customer Satisfaction ETF |
145.6
|
7.4
|
AA
|
| UBS (CH) Vitainvest - World 50 Sustainable |
65.9
|
7.4
|
AA
|
| MYINVESTOR ACWI |
160.9
|
7.4
|
AA
|
| Schroder ISF - Sustainable Multi-Asset Income |
0.0
|
7.4
|
AA
|
| JPM Funds - US Smaller Companies Fund |
117.7
|
7.4
|
AA
|
| Danske Invest Select Danske Obligationer Varighed 0 - 6 KL |
0.1
|
7.4
|
AA
|
| Columbia Threadneedle (UK) ICVC III - CT Global Real Estate Securities Fund |
87.6
|
7.4
|
AA
|
| VoBaFlex30 |
124.7
|
7.4
|
AA
|
| KölnBonn Individual-Portfolio: Wachstum |
82.0
|
7.4
|
AA
|
| Danske Invest Horisont 50 - Akkumulerende KL |
8.8
|
7.4
|
AA
|
| Amundi Accumulazione Infrastrutture Globali 2026 |
0.0
|
7.4
|
AA
|
| BCV FUND (LUX) - Active Security (CHF) |
0.0
|
7.4
|
AA
|
| FairZinsGlobal |
42.6
|
7.4
|
AA
|
| HSBC Fondo Global 2 SA de CV F.I.R.V. |
1.0
|
7.4
|
AA
|
| Nordea Liv Indeksforvaltning 100 Valutasikret |
0.0
|
7.4
|
AA
|
| SVS Cornelian Cautious |
0.0
|
7.4
|
AA
|
| OMR SVS Cornelian Cautious |
0.0
|
7.4
|
AA
|
| OMR SVS Cornelian Cautious Life |
0.0
|
7.4
|
AA
|
| Eastspring Investments - Global Technology Fund |
23.8
|
7.4
|
AA
|
| BEST MANAGER SELECTION FI |
125.9
|
7.4
|
AA
|
| MULTIMANAGERS - ACTIONS INTERNATIONALES - DWS |
67.5
|
7.4
|
AA
|
| Dynamic US Opportunity Fund |
0.0
|
7.4
|
AA
|
| AXA World Funds - Global Income Generation |
153.4
|
7.4
|
AA
|
| Stan Life Vanguard Global Corporate Bond Index S9 |
173.8
|
7.4
|
AA
|
| SL Vanguard Global Corporate Bond Index Pension Fund |
203.2
|
7.4
|
AA
|
| Stan Life Vanguard Global Corporate Bond Index Pn |
0.0
|
7.4
|
AA
|
| Vanguard IS PLC - Global Corporate Bond Index |
160.2
|
7.4
|
AA
|
| FAST - Global Fund |
43.1
|
7.4
|
AA
|
| Sterling M&G Managed Growth |
108.7
|
7.4
|
AA
|
| ReAssure AL TGSB M&G Managed Growth Pn |
108.7
|
7.4
|
AA
|
| ReAssure AL PPB M&G Managed Growth Pn |
108.7
|
7.4
|
AA
|
| ReAssure AL M&G Managed Growth |
108.7
|
7.4
|
AA
|
| L&G M&G Managed Growth |
108.7
|
7.4
|
AA
|
| Zurich M&G Managed Growth Pn |
108.7
|
7.4
|
AA
|
| Pru Ex-DSF M&G Managed Growth Pn |
108.7
|
7.4
|
AA
|
| PIA M&G Managed Growth |
108.7
|
7.4
|
AA
|
| CLI M&G Managed Growth |
108.7
|
7.4
|
AA
|
| ZIL M&G Managed Growth IPP |
108.7
|
7.4
|
AA
|
| M&G IF(4) - M&G Managed Growth Fund |
108.7
|
7.4
|
AA
|
| Pru M&G Managed Growth Pn |
108.7
|
7.4
|
AA
|
| Pru M&G Managed Growth |
108.7
|
7.4
|
AA
|
| OMR M&G Managed Growth |
108.7
|
7.4
|
AA
|
| Pru FRIA M&G Managed Growth Pn |
108.7
|
7.4
|
AA
|
| FNW M&G Managed Growth |
108.7
|
7.4
|
AA
|
| L&G M&G Managed Growth Pn |
108.7
|
7.4
|
AA
|
| PIA M&G Managed Growth Ser B |
108.7
|
7.4
|
AA
|
| PIA M&G Growth Portfolio |
108.7
|
7.4
|
AA
|
| OMR M&G Managed Growth Life |
108.7
|
7.4
|
AA
|
| VitalityInvest Risk Optimiser 6 SF Pn |
162.0
|
7.4
|
AA
|
| VitalityInvest Risk Optimiser 6 SB Pn |
162.0
|
7.4
|
AA
|
| M&G (Lux) IF1 - M&G (Lux) Euro Corporate Bond Fund |
92.2
|
7.4
|
AA
|
| Marlborough ICAV - Marlborough Balanced |
120.7
|
7.4
|
AA
|
| Amundi Selezione Sostenibile 2025 Due |
0.0
|
7.4
|
AA
|
| VT Evelyn Partners Investment Funds ICVC - VT Evelyn Global Dynamic Fund |
102.3
|
7.4
|
AA
|
| iShares III plc - Core € Corp Bd. UCITS ETF |
113.7
|
7.4
|
AA
|
| UBS Life North America Equity Tracker |
152.5
|
7.4
|
AA
|
| Nordea Liv Indeksforvaltning 100 |
0.0
|
7.4
|
AA
|
| Royal London ANL Managed Pn |
71.5
|
7.4
|
AA
|
| The Abbotsford |
121.9
|
7.4
|
AA
|
| Royal London Stakeholder Managed Pn |
71.5
|
7.4
|
AA
|
| UTM IM JPY abrdn SICAV I Japanese Sm Companies Sustainable Equity |
0.0
|
7.4
|
AA
|
| abrdn SICAV I - Japanese Smaller Companies Sustainable Equity Fund |
0.2
|
7.4
|
AA
|
| SSgA Lux. SICAV - US Value Spotlight Fund |
33.4
|
7.4
|
AA
|
| FON FINECO TOP RF FI |
0.0
|
7.4
|
AA
|
| iShares VI plc - iShares Global Corp Bond EUR Hedged UCITS ETF (Dist) |
160.1
|
7.4
|
AA
|
| Symphonia Patrimonio Attivo |
0.0
|
7.4
|
AA
|
| Amundi Funds - US Equity Fundamental Growth |
22.5
|
7.4
|
AA
|
| SPDR II plc - MSCI Europe Health Care UCITS ETF |
20.2
|
7.4
|
AA
|
| iShares VI plc - iShares MSCI Europe Health Care Sector UCITS ETF |
20.2
|
7.4
|
AA
|
| Canlife Diversified Risk Managed Index 3 Pn |
88.4
|
7.4
|
AA
|
| SEB Hercules Fonden |
4.2
|
7.4
|
AA
|
| JPM Funds - Global Corporate Bond Duration-Hedged |
215.1
|
7.4
|
AA
|
| FBG Ertragsorientiert Konservativ ESG |
74.1
|
7.4
|
AA
|
| DP Global Strategy L - Low |
61.2
|
7.4
|
AA
|
| M&G IF(4) - M&G Sustainable Multi Asset Growth Fund |
61.9
|
7.4
|
AA
|
| BUEZUBI |
120.1
|
7.4
|
AA
|
| Enter Select |
0.0
|
7.4
|
AA
|
| SPDR® S&P MIDCAP 400® ETF Trust |
175.6
|
7.4
|
AA
|
| Aviva Pen Funds Blended Portfolio 5 Pn |
123.5
|
7.4
|
AA
|
| iShares® iBonds® Dec 2032 Term Corporate ETF |
277.9
|
7.4
|
AA
|
| DJE Golden Wave |
179.8
|
7.4
|
AA
|
| Total Stock Market Index Fund |
115.9
|
7.4
|
AA
|
| Threadneedle (Lux) - Euro Dynamic Real Return |
69.8
|
7.4
|
AA
|
| Dimensional Funds plc - U.S. Core Equity Fund |
127.0
|
7.4
|
AA
|
| Sterling Artemis High Income |
115.8
|
7.4
|
AA
|
| OMR Artemis High Income Life |
115.8
|
7.4
|
AA
|
| FNW Artemis High Income |
115.8
|
7.4
|
AA
|
| UTM IM GBP Artemis High Income |
115.8
|
7.4
|
AA
|
| Zurich Artemis High Income Pn |
115.8
|
7.4
|
AA
|
| SL Intl Artemis High Income |
115.8
|
7.4
|
AA
|
| SIP Artemis High Income Pn |
115.8
|
7.4
|
AA
|
| Aviva Pen Artemis High Income Pn |
115.8
|
7.4
|
AA
|
| SIP Artemis High Income |
115.8
|
7.4
|
AA
|
| LV= Artemis High Income Pn |
115.8
|
7.4
|
AA
|
| LV= Artemis High Income Pn S2 |
115.8
|
7.4
|
AA
|
| Phoenix SM Artemis High Income |
115.8
|
7.4
|
AA
|
| OMR Artemis High Income |
115.8
|
7.4
|
AA
|
| Aviva Artemis High Income |
115.8
|
7.4
|
AA
|