| OMR M&G Episode Allocation Life |
73.9
|
6.4
|
A
|
| Stan Life M&G Episode Allocation |
73.9
|
6.4
|
A
|
| Stan Life M&G Episode Allocation Pn |
73.9
|
6.4
|
A
|
| Sterling M&G Episode Allocation |
73.9
|
6.4
|
A
|
| SL Janus Henderson European Mid & Large Cap Pension Fund |
73.9
|
9.5
|
AAA
|
| CLI Henderson European Mid and Large Cap Fund |
73.9
|
9.5
|
AAA
|
| L&G Janus Henderson European Growth G17 Pn |
73.9
|
9.5
|
AAA
|
| Av Pen Janus Henderson European Mid And Large Cap Pn |
73.9
|
9.5
|
AAA
|
| Quilter Investors OEIC - Europe (ex UK) Equity |
73.9
|
9.5
|
AAA
|
| L&G Henderson European Growth Pn |
73.9
|
9.5
|
AAA
|
| SL Janus Henderson European Mid & Large Cap Life Fund |
73.9
|
9.5
|
AAA
|
| Janus Henderson IF OEIC - European Mid and Large Cap Fund |
73.9
|
9.5
|
AAA
|
| FNW Janus Henderson European Growth |
73.9
|
9.5
|
AAA
|
| L&G Janus Henderson European Growth |
73.9
|
9.5
|
AAA
|
| DPAM B - Equities Europe Small Caps Sustainable |
74.0
|
8.4
|
AA
|
| Deka Haspa Potenzial |
74.0
|
10.0
|
AAA
|
| Amova Asia Pacific Equity |
74.0
|
6.1
|
A
|
| AXA (CH) Strategy - Economic Trends Equity |
74.0
|
8.9
|
AAA
|
| HSBC Index Tracker Investment Funds-USA Lower Carbon ESG Tilt Equity Index Fund |
74.0
|
7.8
|
AA
|
| TradeCom FondsTrader |
74.0
|
8.2
|
AA
|
| Naspa-PortfolioSelect: - Wachstum |
74.0
|
8.0
|
AA
|
| GAM Multistock - Asia Focus Equity |
74.0
|
6.0
|
A
|
| MDT Small Cap Growth Fund |
74.0
|
5.8
|
A
|
| Swiss Life iFunds (CH) - Equity ESG Global ex Switzerland (CHF) |
74.0
|
8.7
|
AAA
|
| Swiss Life Aktien Global ex Schweiz ESG Indexiert |
74.0
|
8.7
|
AAA
|
| PRIMECAP Odyssey Stock Fund |
74.0
|
9.2
|
AAA
|
| Deka-ESG BasisStrategie Renten |
74.0
|
8.8
|
AAA
|
| UBS (CH) Index Fund 3 - Equities World ex CH Selection NSL |
74.0
|
9.1
|
AAA
|
| Schroder Asian Discovery Fund |
74.0
|
4.9
|
BBB
|
| AXA DACHFONDS - AXA Chance Invest |
74.1
|
7.2
|
AA
|
| R-co - R-co Thematic Real Estate |
74.1
|
7.2
|
AA
|
| WS Adam Worldwide |
74.1
|
8.0
|
AA
|
| Mediolanum Best Brands - Mediolanum Carmignac Strategic Selection |
74.1
|
6.3
|
A
|
| R-co 4Change Net Zero Credit Euro |
74.1
|
8.2
|
AA
|
| FBG Ertragsorientiert Konservativ ESG |
74.1
|
7.4
|
AA
|
| Lyxor PEA Monde (MSCI World) UCITS ETF |
74.1
|
6.6
|
A
|
| ZI Invesco Developed Small and Mid-Cap Equity |
74.1
|
7.9
|
AA
|
| Amundi ETF ICAV - Amundi S&P SmallCap 600 Scr UCITS ETF |
74.1
|
6.5
|
A
|
| T. Rowe Price Global Real Estate |
74.1
|
7.3
|
AA
|
| AXA World Funds - ACT US Corporate Bonds Low Carbon |
74.2
|
8.3
|
AA
|
| UBS (CH) Index Fund - Equities World ex CH Selection NSL |
74.2
|
9.1
|
AAA
|
| QUALITY INVERSION MODERADA, FI |
74.2
|
6.7
|
A
|
| Phoenix Wealth Schroder European Climate Transition |
74.2
|
8.5
|
AA
|
| Phoenix Wealth Schroder European Climate Transition Pn |
74.2
|
8.5
|
AA
|
| Schroder Investment Fund Company - Schroder European Climate Transition Fund |
74.2
|
8.5
|
AA
|
| ZIL Schroder ISF Global Diversified Growth IPP CHF |
74.2
|
7.2
|
AA
|
| TrinityBridge Conservative Portfolio Fund |
74.2
|
8.0
|
AA
|
| L&G Close Conservative Portfolio |
74.2
|
8.0
|
AA
|
| L&G Close Conservative Portfolio Pn |
74.2
|
8.0
|
AA
|
| Columbia Threadneedle (Irl) III PLC - CT European Real Estate Securities Fund |
74.2
|
9.3
|
AAA
|
| Fidelity Advisor Consumer Discretionary Fund |
74.2
|
8.3
|
AA
|
| T. Rowe Price Funds SICAV - Japanese Equity Fund |
74.2
|
8.3
|
AA
|
| Assella Global Value |
74.2
|
8.2
|
AA
|
| BL - Equities Europe PEA |
74.2
|
8.7
|
AAA
|
| BNP Paribas Islamic Fund - Equity Optimiser |
74.3
|
6.8
|
A
|
| Sterling Equity Income Fund |
74.3
|
7.7
|
AA
|
| abrdn OEIC III - abrdn MyFolio Enhanced ESG Index II Fund |
74.3
|
8.0
|
AA
|
| ZIL Allianz Best Styles Global Equity IPP |
74.3
|
7.6
|
AA
|
| JPMorgan- SMID Cap Equity Fund |
74.3
|
7.5
|
AA
|
| VT Greystone Conservative Managed |
74.3
|
7.3
|
AA
|
| iShares ESG Aware Aggressive Allocation ETF |
74.3
|
7.3
|
AA
|
| Axiom Investors ICAV - Axiom Concentrated Global Growth Equity |
74.3
|
10.0
|
AAA
|
| Fundsmith Stewardship |
74.3
|
9.5
|
AAA
|
| Vontobel Fund - mtx Asian Leaders (Ex Japan) |
74.4
|
5.4
|
BBB
|
| AB Relative Value Fund |
74.4
|
8.7
|
AAA
|
| Pegasos - SFC Global Markets |
74.4
|
7.1
|
AA
|
| ODDO BHF Algo Min Var |
74.4
|
8.5
|
AA
|
| AB Sustainable US Thematic |
74.4
|
9.9
|
AAA
|
| Siemens Diversified Growth |
74.4
|
6.8
|
A
|
| AXA Swiss Inst. Fund - Multi Asset Plus |
74.4
|
7.8
|
AA
|
| ZugerKB Fonds - Strategie ESG Konservativ (CHF) |
74.4
|
7.4
|
AA
|
| UBS (Lux) Bond Fund - EUR Flexible |
74.4
|
6.7
|
A
|
| CB Fonds - VermögensManagement Einkommen Europa |
74.4
|
7.7
|
AA
|
| Invesco Funds - Invesco Net Zero Global Investment Grade Corporate Bond |
74.4
|
7.4
|
AA
|
| DWS CIO View Balance |
74.4
|
7.9
|
AA
|
| Volare UCITS Portfolios - Volare Defensive Fund |
74.4
|
6.9
|
A
|
| U Asset Allocation - Enhancement GBP |
74.4
|
7.3
|
AA
|
| RAM (Lux) Systematic Funds - European Market Neutral Equity |
74.5
|
8.5
|
AA
|
| RL Equity Funds ICVC - Royal London Japan Equity Tilt Fund |
74.5
|
8.5
|
AA
|
| Phoenix Wealth AXA Framlington UK Mid Cap |
74.5
|
9.0
|
AAA
|
| Phoenix Wealth AXA Framlington UK Mid Cap Pn |
74.5
|
9.0
|
AAA
|
| AXA Framlington UK Mid Cap Fund |
74.5
|
9.0
|
AAA
|
| Canlife AXA Framlington UK Mid Cap Pn |
74.5
|
9.0
|
AAA
|
| Utmost AXA Framlington UK Mid Cap |
74.5
|
9.0
|
AAA
|
| BlueBay Structured Funds - Total Return Div. Credit Fund |
74.5
|
5.9
|
A
|
| TKB Vermögensverwaltung Fonds - TKB Vermögensverwaltung - Ausgewogen (CHF) |
74.5
|
8.0
|
AA
|
| VP Bank Risk Optimised Equity Fund - Europe |
74.5
|
8.6
|
AA
|
| Momentum Global Growth |
74.5
|
7.4
|
AA
|
| Amundi Index Solutions - MSCI EU Small Cap ESG Climate Broad Transition |
74.6
|
8.8
|
AAA
|
| ZI Jupiter Merlin Real Return Portfolio SGD |
74.6
|
7.1
|
A
|
| MI Jupiter Merlin Real Return Portfolio SGD |
74.6
|
7.1
|
A
|
| Eastspring Investments - Global Emerging Markets Bond Fund |
74.6
|
3.3
|
BB
|
| abrdn OEIC I - abrdn Japanese Equity Fund |
74.6
|
10.0
|
AAA
|
| Raiffeisen Futura - Strategy Invest Balanced |
74.7
|
8.4
|
AA
|
| ING Direct - ING Direct Profilo Dinamico Arancio |
74.7
|
7.5
|
AA
|
| BlackRock BSF - Managed Index Portfolios - Growth |
74.7
|
7.5
|
AA
|
| Legal & General Unit Trust Managers II - LEGAL & GENERAL GLOBAL THEMATIC FUND |
74.7
|
7.7
|
AA
|
| Columbia Threadneedle (Lux) I - CT (Lux) Pan European Smaller Companies |
74.7
|
8.6
|
AA
|
| Bantleon Immobilienaktien America ESG TX |
74.7
|
7.4
|
AA
|
| Goldman Sachs Funds V - Goldman Sachs Patrimonial Aggressive |
74.7
|
7.5
|
AA
|