| Storebrand FRN Företagsobligation |
0.0
|
6.6
|
A
|
| ZIL Storebrand FRN Foretagsobligation IPP |
0.0
|
6.6
|
A
|
| ZIL Storebrand FRN Foretagsobligation |
0.0
|
6.6
|
A
|
| Asian Equity Select Portfolio (ARC) Pn |
166.4
|
6.6
|
A
|
| Asian Equity Select Portfolio Pn |
166.4
|
6.6
|
A
|
| BlackRock U.S. Equity Factor Rotation ETF |
70.8
|
6.6
|
A
|
| SSGA Lux. SICAV - State Street US Opportunities Equity |
140.6
|
6.6
|
A
|
| EF Brompton Global Conservative |
59.0
|
6.6
|
A
|
| Multipar Actions PME ETI ISR |
150.3
|
6.6
|
A
|
| Federated Hermes Investment Funds Plc - Fedrtd Hrms Gbl Emrgng Mrkts Eqty Fund |
73.2
|
6.6
|
A
|
| BNP Paribas Actions PME ETI ISR |
0.0
|
6.6
|
A
|
| S-Bank Asset Management Saver 10 |
0.0
|
6.6
|
A
|
| iShares Cohen & Steers REIT ETF |
96.6
|
6.6
|
A
|
| Adaptive U.S. Risk Management ETF |
108.2
|
6.6
|
A
|
| AZ Fund 1 - AZ Allocation - Italian Trend |
120.3
|
6.6
|
A
|
| MARCH PORTFOLIO MAX 25 |
0.0
|
6.6
|
A
|
| RL Equity Funds ICVC - Royal London US Equity Tilt Fund |
95.4
|
6.6
|
A
|
| RLL American Tilt |
95.4
|
6.6
|
A
|
| Royal London (UF/As) North America |
0.0
|
6.6
|
A
|
| Royal London (UF/As) North America S2 Pn |
0.0
|
6.6
|
A
|
| Vanguard ICVC - U.S. Equity Index |
142.2
|
6.6
|
A
|
| SL Intl Vanguard US Equity |
142.2
|
6.6
|
A
|
| Canlife Vanguard US Equity Index Fund Pn |
142.2
|
6.6
|
A
|
| GESTION VALUE |
0.0
|
6.6
|
A
|
| BANOR SICAV - European Dividend Plus |
77.7
|
6.6
|
A
|
| CIF - Capital Group EUR Conservative Income Portfolio (LUX) |
91.3
|
6.6
|
A
|
| Jyske Invest International - Jyske Invest Balanced Strategy GBP CL |
67.3
|
6.6
|
A
|
| Growth Leaders Fund |
33.2
|
6.6
|
A
|
| Aaapollo 11 Global |
168.3
|
6.6
|
A
|
| M&G (Lux) IF1 - M&G (Lux) Dynamic Allocation Fund |
37.9
|
6.6
|
A
|
| Konzept : Ertrag 2025 |
11.8
|
6.6
|
A
|
| Canlife Invesco Tactical Bond Pn |
23.1
|
6.6
|
A
|
| OMR Invesco Tactical Bond (UK) Life |
22.6
|
6.6
|
A
|
| OMR Invesco Tactical Bond (UK) |
22.6
|
6.6
|
A
|
| Baird Intermediate Bond |
61.0
|
6.6
|
A
|
| Anima Selection Conservative |
56.1
|
6.6
|
A
|
| US Real Estate Fund |
98.8
|
6.6
|
A
|
| Danske Invest SICAV - Multi Asset Inflation Strategy |
20.4
|
6.6
|
A
|
| Virtus Silvant Large-Cap Growth Stock Fund |
42.8
|
6.6
|
A
|
| Schroder ISF - US Small & Mid-Cap Equity |
113.6
|
6.6
|
A
|
| ZIL Schroder ISF US Small & Mid Cap Equity |
113.6
|
6.6
|
A
|
| ZIL Schroder ISF US Small & Mid Cap Equity IPP |
113.6
|
6.6
|
A
|
| Aviva Investors Portfolio Funds ICVC - Aviva Investors Multi-asset Plus Fund I |
79.0
|
6.6
|
A
|
| Aviva Multi-asset I |
79.0
|
6.6
|
A
|
| Aviva Pen Funds Multi-asset Plus I Pn |
79.0
|
6.6
|
A
|
| Amundi S.F. - Amundi Target Trend 2024 |
62.4
|
6.6
|
A
|
| HSBC GIF - US High Yield Bond |
396.6
|
6.6
|
A
|
| Defensive Market Strategies® |
66.5
|
6.6
|
A
|
| B&H Renta Fija FI |
0.0
|
6.6
|
A
|
| Amundi Soluzioni Italia - Obbligazionario Euro 06/2025 |
0.0
|
6.6
|
A
|
| Amundi Funds - Multi Sector Credit |
119.3
|
6.6
|
A
|
| Allianz GIF - Euro High Yield Defensive |
127.0
|
6.6
|
A
|
| AB Global Risk Allocation Fund |
65.1
|
6.6
|
A
|
| Small Cap Growth Fund Institutional |
0.0
|
6.6
|
A
|
| VT Tatton Blended Defensive |
79.4
|
6.6
|
A
|
| MI Brewin Dolphin Investment Funds - MI Select Managers Bond Fund |
0.0
|
6.6
|
A
|
| FONMARCH |
120.9
|
6.6
|
A
|
| R-co - R-co Valor Bond Opportunities |
0.0
|
6.6
|
A
|
| Robeco (NL) Umbrella Fund II - Robeco Customized Euro Government Bonds Fund |
0.0
|
6.6
|
A
|
| AXA World Funds – Euro Long Duration Bonds |
31.5
|
6.6
|
A
|
| MPF- North America Screened Index Equity Sub-Fund |
150.3
|
6.6
|
A
|
| UBAM - Euro Bond |
0.4
|
6.6
|
A
|
| BlackRock Global Funds - MyMap Cautious Fund |
0.0
|
6.6
|
A
|
| Zevenbergen Growth |
14.5
|
6.6
|
A
|
| UBS (Lux) Equity Fund - Emerging Markets Sustainable Leaders (USD) |
163.1
|
6.6
|
A
|
| HANetf ICAV - The Travel UCITS ETF |
639.8
|
6.6
|
A
|
| PIMCO Select Funds plc - Eurodollar High Quality Fund |
0.0
|
6.6
|
A
|
| easyfolio 70 |
124.5
|
6.6
|
A
|
| Multiopportunities SICAV - DIVAS Eurozone Value Focus |
223.4
|
6.6
|
A
|
| Anima Obbligazionario Flessibile |
0.0
|
6.6
|
A
|
| MPF- North America (100% Hedged) Screened Index Equity Sub-Fd |
150.9
|
6.6
|
A
|
| MPF North American Equity Pn 50% Hedged |
150.9
|
6.6
|
A
|
| Risk Managed Real Estate |
0.0
|
6.6
|
A
|
| IFSL Equilibrium OEIC - IFSL Equilibrium Global Equity Portfolio |
135.1
|
6.6
|
A
|
| Motley Fool 100 Index ETF |
51.9
|
6.6
|
A
|
| UBS (Lux) Strategy SICAV - Dynamic Income (USD) |
160.1
|
6.6
|
A
|
| Hilton Tactical Income Fund (INST) |
116.9
|
6.6
|
A
|
| Allocation Pilotée Equilibre |
51.7
|
6.6
|
A
|
| iShares Southeast Asia Trust - MSCI India Clmt Trans ETF |
167.7
|
6.6
|
A
|
| Goldman Sachs Funds IV - Goldman Sachs ING Conservator |
52.1
|
6.6
|
A
|
| PEH SICAV - PEH Inflation Linked Bonds Flexibel |
0.0
|
6.6
|
A
|
| Global Opportunities Access - Global Bonds GBP |
25.9
|
6.6
|
A
|
| Anima Capitale Più 15 |
0.0
|
6.6
|
A
|
| Voya Small Company Fund |
94.6
|
6.6
|
A
|
| Aviva SEI Strategic Portfolios Defensive |
53.4
|
6.6
|
A
|
| Buy & Hold Luxembourg - B&H Bonds |
0.0
|
6.6
|
A
|
| UBS (Lux) Fund Solutions – UBS J.P. Morgan EMU Gov ESG Liquid Bond UCITS ETF |
0.0
|
6.6
|
A
|
| Johnson Institutional Short Duration Bond Fund |
0.0
|
6.6
|
A
|
| Phoenix SM First State Global Emerging Markets |
61.8
|
6.6
|
A
|
| Phoenix SM First State Global Emerging Markets Pn |
61.8
|
6.6
|
A
|
| OMR Stewart Investors Global Emerging Markets Life |
61.8
|
6.6
|
A
|
| OMR Stewart Investors Global Emerging Markets |
61.8
|
6.6
|
A
|
| ZUR Zurich Blue Cautious |
95.7
|
6.6
|
A
|
| Zurich Invest ICAV - Zurich Blue Cautious |
95.7
|
6.6
|
A
|
| VPFP International Growth |
101.2
|
6.6
|
A
|
| TAWARZAR 2 S-1, SICAV S.A. |
0.0
|
6.6
|
A
|
| Nordea 1, SICAV - Global Small Cap Fund |
52.6
|
6.6
|
A
|
| UBS (Lux) Bond SICAV - 2025 I (EUR) |
219.4
|
6.6
|
A
|
| Anima Megatrend People |
0.0
|
6.6
|
A
|
| Schroder ISF - Multi-Asset Total Return |
53.5
|
6.6
|
A
|