| Migros Bank (Lux) Fonds - 50 |
83.4
|
7.9
|
AA
|
| Virtus Reaves Utilities ETF |
2'038.9
|
7.9
|
AA
|
| iShares Canadian Financial Monthly Income |
79.1
|
7.9
|
AA
|
| Euro Short Duration Bonds |
122.5
|
7.9
|
AA
|
| RLPPC Enhanced Buy and Maintain Credit Fund |
0.0
|
7.9
|
AA
|
| db Advisory Multibrands - DWS ESG Eurozone Bonds Flexible |
72.1
|
7.9
|
AA
|
| U Asset Allocation - Scontinvest Income EUR |
59.3
|
7.9
|
AA
|
| PineBridge Global Funds - US Research Enhanced Core Equity |
116.9
|
7.9
|
AA
|
| Swisscanto AST Avant Aktien Responsible Amerika |
82.3
|
7.9
|
AA
|
| Artisan Global Equity Fund |
91.1
|
7.9
|
AA
|
| Alfred Berg Nordic Investment Grade Mid Duration |
5.4
|
7.9
|
AA
|
| Investeringsforeningen Sydinvest-Sydinvest Global Value KL |
70.9
|
7.9
|
AA
|
| SIX CIRCLES MANAGED EQUITY PORTFOLIO U.S. UNCONSTRAINED FUND |
0.0
|
7.9
|
AA
|
| SG ACTIONS FRANCE VALEURS MOYENNES |
0.0
|
7.9
|
AA
|
| Quality Cyclicals Fund |
161.7
|
7.9
|
AA
|
| Swedbank Savings fund 100 |
0.0
|
7.9
|
AA
|
| BNP Paribas Funds - Social Bond |
0.0
|
7.9
|
AA
|
| FundShare UCITS Stroeve Beheerd Beleggen Groei |
53.4
|
7.9
|
AA
|
| OMR ASI Strategic Bond Life |
94.4
|
7.9
|
AA
|
| OMR ASI Strategic Bond |
94.4
|
7.9
|
AA
|
| abrdn OEIC I - abrdn Strategic Bond Fund |
94.4
|
7.9
|
AA
|
| Swto (CH) Instl Pnsn Fd II (IPF II) - Swisscanto (CH) IPF II Eqty Fd Rs Nh Amrca |
82.3
|
7.9
|
AA
|
| CAIXABANK SOY ASI FLEXIBLE |
101.8
|
7.9
|
AA
|
| Handelsbanken Kreditt |
0.0
|
7.9
|
AA
|
| CAIXABANK BOLSA ESPANA 150 |
121.6
|
7.9
|
AA
|
| AXA Investmentfonds - AXA Welt |
52.3
|
7.9
|
AA
|
| CAIXABANK BOLSA INDICE ESPANA |
121.4
|
7.9
|
AA
|
| Lyxor Index Fund - EuroMTS Covered Bond Aggregate UCITS ETF |
0.0
|
7.9
|
AA
|
| Aviva Pension Diversified Assets 5 Pn |
171.2
|
7.9
|
AA
|
| Aviva Insured Funds Diversified Assets Fund 5 Pn |
171.2
|
7.9
|
AA
|
| DBC Opportunity |
14.6
|
7.9
|
AA
|
| Global Real Assets Fund |
230.7
|
7.9
|
AA
|
| IMANTIA IBEX-35 |
0.0
|
7.9
|
AA
|
| The New Jaguar |
188.9
|
7.9
|
AA
|
| RLPPC Over 5 Year Corporate Bond Pn |
0.0
|
7.9
|
AA
|
| DAM Select Managed |
79.7
|
7.9
|
AA
|
| Capital Opportunity Fund |
85.5
|
7.9
|
AA
|
| Amundi Öko Sozial Mix ausgewogen |
94.2
|
7.9
|
AA
|
| Calvert Mid-Cap Fund |
229.7
|
7.9
|
AA
|
| FID FIF - Fidelity Short Dated Corporate Bond Fund |
0.0
|
7.9
|
AA
|
| Yorktown Growth Fund |
104.8
|
7.9
|
AA
|
| TrinityBridge Balanced Tactical Passive Fund |
141.9
|
7.9
|
AA
|
| Causeway International Opportunities Fund |
0.0
|
7.9
|
AA
|
| HSBC Global Funds ICAV - Global Corporate Bond UCITS ETF |
157.4
|
7.9
|
AA
|
| Institutional BVG/LPP Flexible Fund |
0.0
|
7.9
|
AA
|
| Swisscanto (CH) Portfolio Fund I - Responsible Relax |
0.0
|
7.9
|
AA
|
| TOP-Investors Global |
79.4
|
7.9
|
AA
|
| MFS Investment Funds - Global Value |
88.8
|
7.9
|
AA
|
| Mirabaud Fund (CH) - Swiss Dividend |
87.6
|
7.9
|
AA
|
| R-co - R-co 4Change Moderate Allocation |
62.4
|
7.9
|
AA
|
| SPDR Series Trust - SPDR Portfolio Corporate Bond ETF |
185.8
|
7.9
|
AA
|
| WisdomTree U.S. ESG Fund |
58.2
|
7.9
|
AA
|
| Barings International Umbrella Fund - Barings German Growth Fund |
153.8
|
7.9
|
AA
|
| Aviva Life Nordea North American Value USD OL |
486.9
|
7.9
|
AA
|
| AXA World Funds - Global Buy and Maintain Credit |
120.4
|
7.9
|
AA
|
| SPDR® SSGA US Large Cap Low Volatility Index ETF |
284.1
|
7.9
|
AA
|
| OnePath OneAnswer Personal Super - OnePath High Growth Index |
91.0
|
7.9
|
AA
|
| ANZ OneAnswer Allocated Pension - OnePath High Growth Index |
91.0
|
7.9
|
AA
|
| ANZ OneAnswer Personal Super - OnePath High Growth Index |
91.0
|
7.9
|
AA
|
| Amundi Soluzioni Italia - Progetto Azione Connectivity Revolution (II) |
0.0
|
7.9
|
AA
|
| ARK Invest UCITS ICAV - Rize Environmental Impact 100 UCITS ETF |
147.0
|
7.9
|
AA
|
| RM Smart Strategy Fund |
339.3
|
7.9
|
AA
|
| DJE - Dividende & Substanz |
194.1
|
7.9
|
AA
|
| L&G Jupiter Merlin Income Portfolio Pn |
124.1
|
7.9
|
AA
|
| ReAssure AL Jupiter Merlin Income Portfolio Pn |
124.1
|
7.9
|
AA
|
| Canlife Jupiter Merlin Income Portfolio |
124.1
|
7.9
|
AA
|
| Canlife Jupiter Merlin Income Portfolio Pn |
124.1
|
7.9
|
AA
|
| Stan Life Jupiter Merlin Income Portfolio Pn |
124.1
|
7.9
|
AA
|
| Mon Ire Multi-Asset Moderate |
124.1
|
7.9
|
AA
|
| ReAssure AL Jupiter Merlin Income Portfolio |
124.1
|
7.9
|
AA
|
| RLP Jupiter Merlin Income Portfolio Pn |
124.1
|
7.9
|
AA
|
| Stan Life Jupiter Merlin Income Portfolio |
124.1
|
7.9
|
AA
|
| SL Intl Jupiter Merlin Income |
124.1
|
7.9
|
AA
|
| Zurich Jupiter Merlin Income Portfolio Pn |
124.1
|
7.9
|
AA
|
| FNW Jupiter Merlin Income Portfolio |
124.1
|
7.9
|
AA
|
| OMR Jupiter Merlin Income Portfolio Life |
124.1
|
7.9
|
AA
|
| OMR Jupiter Merlin Income Portfolio |
124.1
|
7.9
|
AA
|
| L&G Jupiter Merlin Income Portfolio |
124.1
|
7.9
|
AA
|
| S&P 500 Ex-Financials ETF |
0.0
|
7.9
|
AA
|
| BNP Paribas Easy - € Corp Bond SRI PAB |
0.0
|
7.9
|
AA
|
| Invesco Markets II plc - Invesco S&P World Financials ESG UCITS ETF |
3.6
|
7.9
|
AA
|
| Xtrackers - Xtrackers MSCI Europe Financials Screened UCITS ETF |
3.0
|
7.9
|
AA
|
| BremenKapital Dynamik |
170.4
|
7.9
|
AA
|
| ALPS Equal Sector Weight ETF |
294.9
|
7.9
|
AA
|
| Cicero Offensiv Hallbar |
0.0
|
7.9
|
AA
|
| Mediolanum Best Brands - Dynamic International Value Opportunity |
122.1
|
7.9
|
AA
|
| Skandia Nordamerika Exponering |
0.0
|
7.9
|
AA
|
| DWS Invest II - DWS Invest II ESG US Top Dividend |
113.0
|
7.9
|
AA
|
| S4A EU Pure Equity |
137.9
|
7.9
|
AA
|
| Raiffeisen Futura - Global Bond |
166.9
|
7.9
|
AA
|
| Large Company Value Portfolio |
0.0
|
7.9
|
AA
|
| Amundi Index Solutions - Amundi EUR Corporate Bond ESG |
68.0
|
7.9
|
AA
|
| Handelsbanken Norge |
0.0
|
7.9
|
AA
|
| JSS Investmentfonds - JSS Multi Asset - Global Opportunities |
54.5
|
7.9
|
AA
|
| Morgan Stanley Investment Funds - Global Balanced Income Fund |
109.3
|
7.9
|
AA
|
| SSgA Lux. SICAV - State Street Global Screened Managed Volatility Equity Fund |
172.4
|
7.9
|
AA
|
| Calvert US Large-Cap Core Responsible Index ETF |
83.1
|
7.9
|
AA
|
| Calvert US Large-Cap Core Responsible Index Fund |
83.3
|
7.9
|
AA
|
| Quilter Investors OEIC - Corporate Bond |
0.0
|
7.9
|
AA
|
| Nordea Liv Indeksforvaltning 65 |
0.0
|
7.9
|
AA
|