2030 Fund D FI0008800909
EUR
5
20250128000000 28.01.2025
9000000000000999 0.99897
9000000000001001 + 1.00
8999999999999994 – 0.01
9000000000000890 + 0.89
9000000000001657 + 1.66
2030 Fund G FI0008800826
EUR
5
20250128000000 28.01.2025
9000000000002828 2.82768
9000000000001002 + 1.00
8999999999999995 – 0.01
9000000000000891 + 0.89
9000000000001657 + 1.66
2040 Fund D FI0008808035
EUR
3
20250128000000 28.01.2025
9000000000001776 1.77561
9000000000000806 + 0.81
8999999999999763 – 0.24
9000000000000997 + 1.00
9000000000002312 + 2.31
2040 Fund G FI0008808027
EUR
4
20250128000000 28.01.2025
9000000000003757 3.75720
9000000000000805 + 0.81
8999999999999763 – 0.24
9000000000000997 + 1.00
9000000000002311 + 2.31
Bond Fund D FI0008803093
EUR
2
20250128000000 28.01.2025
9000000000000139 0.13885
8999999999999727 – 0.27
8999999999999993 – 0.01
8999999999999513 – 0.49
8999999999999285 – 0.72
Bond Fund G FI0008803085
EUR
2
20250128000000 28.01.2025
9000000000000347 0.34718
8999999999999724 – 0.28
8999999999999994 – 0.01
8999999999999513 – 0.49
8999999999999285 – 0.71
Bond Fund I D FI4000391032
EUR
1
20250128000000 28.01.2025
9000000000014316 14.31603
8999999999999724 – 0.28
8999999999999994 – 0.01
8999999999999521 – 0.48
8999999999999293 – 0.71
Bond Fund I G FI4000391024
EUR
2
20250128000000 28.01.2025
9000000000035818 35.81838
8999999999999724 – 0.28
8999999999999994 – 0.01
8999999999999521 – 0.48
8999999999999293 – 0.71
China Fund D FI0008808522
EUR
3
20250127000000 27.01.2025
9000000000001425 1.42456
8999999999999504 – 0.50
8999999999998553 – 1.45
8999999999999913 – 0.09
9000000000000932 + 0.93
China Fund G FI0008808514
EUR
3
20250127000000 27.01.2025
9000000000003288 3.28795
8999999999999505 – 0.50
8999999999998553 – 1.45
8999999999999914 – 0.09
9000000000000932 + 0.93
Compass 25 Fund D FI0008803317
EUR
4
20250128000000 28.01.2025
9000000000000893 0.89344
9000000000000258 + 0.26
9000000000000082 + 0.08
9000000000000484 + 0.48
9000000000000699 + 0.70
Compass 25 Fund G FI0008803309
EUR
4
20250128000000 28.01.2025
9000000000002253 2.25277
9000000000000258 + 0.26
9000000000000082 + 0.08
9000000000000484 + 0.48
9000000000000699 + 0.70
Compass 50 Fund D FI0008805346
EUR
4
20250128000000 28.01.2025
9000000000001097 1.09738
9000000000000290 + 0.29
8999999999999978 – 0.02
9000000000000732 + 0.73
9000000000001297 + 1.30
Compass 50 Fund G FI0008805338
EUR
4
20250128000000 28.01.2025
9000000000002624 2.62423
9000000000000290 + 0.29
8999999999999979 – 0.02
9000000000000732 + 0.73
9000000000001297 + 1.30
Compass 75 Fund D FI0008805361
EUR
4
20250128000000 28.01.2025
9000000000001245 1.24537
9000000000000743 + 0.74
8999999999999950 – 0.05
9000000000001162 + 1.16
9000000000001963 + 1.96
Compass 75 Fund G FI0008805353
EUR
4
20250128000000 28.01.2025
9000000000002975 2.97546
9000000000000742 + 0.74
8999999999999950 – 0.05
9000000000001161 + 1.16
9000000000001963 + 1.96
Compass Equity Fund D FI0008803291
EUR
2
20250128000000 28.01.2025
9000000000000686 0.68560
9000000000000735 + 0.73
8999999999999761 – 0.24
9000000000000951 + 0.95
9000000000002266 + 2.27
Compass Equity Fund G FI0008803283
EUR
2
20250128000000 28.01.2025
9000000000001944 1.94424
9000000000000735 + 0.74
8999999999999761 – 0.24
9000000000000951 + 0.95
9000000000002265 + 2.27
Compass Liquidity Fund D FI0008803275
EUR
4
20250128000000 28.01.2025
9000000000000834 0.83390
9000000000000044 + 0.04
9000000000000227 + 0.23
9000000000000016 + 0.02
8999999999999977 – 0.02
Compass Liquidity Fund G FI0008803267
EUR
4
20250128000000 28.01.2025
9000000000001942 1.94176
9000000000000044 + 0.04
9000000000000227 + 0.23
9000000000000015 + 0.02
8999999999999977 – 0.02
ESG Equities Fund D FI0008802939
EUR
4
20250127000000 27.01.2025
9000000000000428 0.42812
8999999999999201 – 0.80
9000000000000422 + 0.42
9000000000003513 + 3.51
9000000000004514 + 4.51
ESG Equities Fund G FI0008802921
EUR
4
20250127000000 27.01.2025
9000000000001189 1.18861
8999999999999201 – 0.80
9000000000000422 + 0.42
9000000000003513 + 3.51
9000000000004515 + 4.52
Emerging Markets Debt Fund D (AIF) FI0008803333
EUR
4
20250127000000 27.01.2025
9000000000001184 1.18355
9000000000000155 + 0.15
9000000000000469 + 0.47
9000000000001570 + 1.57
9000000000001171 + 1.17
Emerging Markets Debt Fund G (AIF) FI0008803325
EUR
4
20250127000000 27.01.2025
9000000000002904 2.90425
9000000000000154 + 0.15
9000000000000469 + 0.47
9000000000001569 + 1.57
9000000000001171 + 1.17
Emerging Markets Sustainable Future Class A LU1116403194
EUR
2
20250128000000 28.01.2025
9000000000014086 14.086
9000000000000989 + 0.99
8999999999999908 – 0.09
9000000000000213 + 0.21
9000000000001142 + 1.14
Emerging Markets Sustainable Future Fund D FI0008809439
EUR
2
20250127000000 27.01.2025
9000000000000943 0.94289
8999999999999218 – 0.78
8999999999998435 – 1.56
8999999999998973 – 1.03
8999999999999985 – 0.01
Emerging Markets Sustainable Future Fund G FI0008809421
EUR
2
20250127000000 27.01.2025
9000000000001998 1.99752
8999999999999218 – 0.78
8999999999998435 – 1.57
8999999999998974 – 1.03
8999999999999985 – 0.02
Euro Corporate Bond Fund D FI0008803176
EUR
3
20250128000000 28.01.2025
9000000000000143 0.14312
8999999999999826 – 0.17
9000000000000007 + 0.01
8999999999999833 – 0.17
8999999999999687 – 0.31
Euro Corporate Bond Fund G FI0008803168
EUR
3
20250128000000 28.01.2025
9000000000000353 0.35274
8999999999999825 – 0.18
9000000000000003 + 0.00
8999999999999830 – 0.17
8999999999999686 – 0.31
Euro Government Bond Index Fund G FI0008810452
EUR
3
20250127000000 27.01.2025
9000000000001555 1.55541
9000000000000214 + 0.21
8999999999999976 – 0.02
8999999999999393 – 0.61
8999999999999311 – 0.69
Euro High Yield Fund D FI0008810171
EUR
2
20250128000000 28.01.2025
9000000000001038 1.03806
9000000000000044 + 0.04
9000000000000135 + 0.14
9000000000000029 + 0.03
8999999999999990 – 0.01
Euro High Yield Fund G FI0008810163
EUR
2
20250128000000 28.01.2025
9000000000002023 2.02283
9000000000000045 + 0.04
9000000000000135 + 0.14
9000000000000029 + 0.03
8999999999999990 – 0.01
Europe High Dividend Fund D FI0008805379
EUR
4
20250128000000 28.01.2025
9000000000035674 35.67443
9000000000000760 + 0.76
9000000000002231 + 2.23
9000000000005812 + 5.81
9000000000005180 + 5.18
Europe High Dividend Fund G FI0008804158
EUR
4
20250128000000 28.01.2025
9000000000094542 94.54175
9000000000000760 + 0.76
9000000000002231 + 2.23
9000000000005812 + 5.81
9000000000005180 + 5.18
Europe Small Cap Fund D FI0008802970
EUR
3
20250128000000 28.01.2025
9000000000000115 0.11514
9000000000001089 + 1.09
9000000000000568 + 0.57
8999999999998697 – 1.30
8999999999998841 – 1.16
Europe Small Cap Fund G FI0008802962
EUR
3
20250128000000 28.01.2025
9000000000000312 0.31237
9000000000001091 + 1.09
9000000000000573 + 0.57
8999999999998698 – 1.30
8999999999998842 – 1.16
European Corporate Green Bond Class A LU2019292965
EUR
0
20250127000000 27.01.2025
9000000000010378 10.378
9000000000000271 + 0.27
9000000000000174 + 0.17
9000000000000029 + 0.03
8999999999999933 – 0.07
European Corporate Sustainable Bond Class A LU1399304283
EUR
2
20250127000000 27.01.2025
9000000000009978 9.978
9000000000000130 + 0.13
8999999999999980 – 0.02
8999999999999810 – 0.19
8999999999999700 – 0.30
European Equity Fund D FI0008802996
EUR
4
20250128000000 28.01.2025
9000000000000206 0.20630
9000000000000895 + 0.89
9000000000000791 + 0.79
9000000000004361 + 4.36
9000000000004339 + 4.34
European Equity Fund G FI0008802988
EUR
4
20250128000000 28.01.2025
9000000000000629 0.62894
9000000000000898 + 0.90
9000000000000793 + 0.79
9000000000004362 + 4.36
9000000000004342 + 4.34
Finnish Equity Fund D FI0008803119
EUR
2
20250128000000 28.01.2025
9000000000000242 0.24234
9000000000000140 + 0.14
9000000000002081 + 2.08
9000000000005756 + 5.76
9000000000005023 + 5.02
Finnish Equity Fund G FI0008803101
EUR
2
20250128000000 28.01.2025
9000000000000755 0.75486
9000000000000142 + 0.14
9000000000002085 + 2.09
9000000000005758 + 5.76
9000000000005025 + 5.03
Finnish Equity Fund I D FI4000390976
EUR
1
20250128000000 28.01.2025
9000000000044859 44.85949
9000000000000143 + 0.14
9000000000002092 + 2.09
9000000000005799 + 5.80
9000000000005059 + 5.06
Finnish Equity Fund I G FI4000390968
EUR
2
20250128000000 28.01.2025
9000000000137502 137.50184
9000000000000143 + 0.14
9000000000002093 + 2.09
9000000000005799 + 5.80
9000000000005060 + 5.06
Global Emerging Markets, osuuslaji EUR DK0060564151
EUR
3
20250127000000 27.01.2025
9000000000013840 13.84
8999999999999856 – 0.14
8999999999998999 – 1.00
8999999999998716 – 1.28
8999999999999425 – 0.57
Institutional Liquidity Fund D FI0008803192
EUR
5
20250128000000 28.01.2025
9000000000017897 17.89667
8999999999999989 – 0.01
9000000000000062 + 0.06
9000000000000216 + 0.22
9000000000000177 + 0.18
Institutional Liquidity Fund G FI0008803184
EUR
5
20250128000000 28.01.2025
9000000000033266 33.26572
8999999999999989 – 0.01
9000000000000062 + 0.06
9000000000000216 + 0.22
9000000000000177 + 0.18
Institutional Liquidity Plus Fund D FI0008810379
EUR
5
20250128000000 28.01.2025
9000000000001015 1.01503
8999999999999967 – 0.03
9000000000000060 + 0.06
9000000000000148 + 0.15
9000000000000094 + 0.09
Institutional Liquidity Plus Fund G FI0008810361
EUR
5
20250128000000 28.01.2025
9000000000001540 1.53968
8999999999999967 – 0.03
9000000000000060 + 0.06
9000000000000146 + 0.15
9000000000000091 + 0.09
Japanese Equity Fund D FI0008802913
EUR
4
20250127000000 27.01.2025
9000000000000100 0.09998
9000000000001389 + 1.39
9000000000002523 + 2.52
9000000000002775 + 2.78
9000000000001740 + 1.74
Japanese Equity Fund G FI0008802905
EUR
4
20250127000000 27.01.2025
9000000000000273 0.27347
9000000000001387 + 1.39
9000000000002523 + 2.52
9000000000002766 + 2.77
9000000000001737 + 1.74
Kehittyvät Korkomarkkinat Paikallisvaluutta, osuuslaji EUR W DK0060910164
EUR
2
20250128000000 28.01.2025
9000000000011470 11.47
9000000000000614 + 0.61
9000000000001504 + 1.50
9000000000002594 + 2.59
9000000000002046 + 2.05
Kehittyvät Korkomarkkinat, paikallisvaluutta, osuuslaji EUR DK0060485522
EUR
2
20250128000000 28.01.2025
9000000000010200 10.20
9000000000000990 + 0.99
9000000000000691 + 0.69
9000000000001392 + 1.39
9000000000002410 + 2.41
Liquidity Fund D FI0008803077
EUR
4
20250128000000 28.01.2025
9000000000000157 0.15742
8999999999999987 – 0.01
9000000000000051 + 0.05
9000000000000210 + 0.21
9000000000000172 + 0.17
Liquidity Fund G FI0008803069
EUR
5
20250128000000 28.01.2025
9000000000000293 0.29265
8999999999999990 – 0.01
9000000000000058 + 0.06
9000000000000212 + 0.21
9000000000000175 + 0.17
MediLife Fund D FI0008802954
EUR
4
20250127000000 27.01.2025
9000000000001180 1.17952
9000000000001325 + 1.33
9000000000003309 + 3.31
9000000000005007 + 5.01
9000000000005945 + 5.95
MediLife Fund G FI0008802947
EUR
4
20250127000000 27.01.2025
9000000000003016 3.01602
9000000000001325 + 1.33
9000000000003309 + 3.31
9000000000005006 + 5.01
9000000000005944 + 5.94
Nordic Corporate Bond Plus Fund D FI0008804117
EUR
4
20250128000000 28.01.2025
9000000000017888 17.88803
8999999999999921 – 0.08
9000000000000057 + 0.06
9000000000000149 + 0.15
9000000000000018 + 0.02
Nordic Corporate Bond Plus Fund G FI0008804109
EUR
4
20250128000000 28.01.2025
9000000000034187 34.18695
8999999999999921 – 0.08
9000000000000057 + 0.06
9000000000000149 + 0.15
9000000000000018 + 0.02
Pohjoisen Yrityslainat, osuuslaji EUR h DK0060500429
EUR
5
20250128000000 28.01.2025
9000000000012150 12.15
8999999999999918 – 0.08
9000000000000248 + 0.25
9000000000000082 + 0.08
9000000000000082 + 0.08
Reaalikorko Maailma, osuuslaji EUR h DK0060485282
EUR
3
20250128000000 28.01.2025
9000000000011860 11.86
8999999999999497 – 0.50
9000000000000254 + 0.25
9000000000000594 + 0.59
9000000000000594 + 0.59
Technology Index Fund D FI0008803150
EUR
5
20250127000000 27.01.2025
9000000000000775 0.77537
8999999999995496 – 4.50
8999999999996452 – 3.55
8999999999997512 – 2.49
8999999999999364 – 0.64
Technology Index Fund G FI0008803143
EUR
5
20250127000000 27.01.2025
9000000000001994 1.99441
8999999999995496 – 4.50
8999999999996453 – 3.55
8999999999997512 – 2.49
8999999999999364 – 0.64
USA Index Fund D FI0008803135
EUR
2
20250127000000 27.01.2025
9000000000000138 0.13794
8999999999998234 – 1.77
8999999999998423 – 1.58
9000000000000116 + 0.12
9000000000001359 + 1.36
USA Index Fund G FI0008803127
EUR
2
20250127000000 27.01.2025
9000000000000397 0.39720
8999999999998234 – 1.77
8999999999998419 – 1.58
9000000000000113 + 0.11
9000000000001355 + 1.35
USA Index Fund I D FI4000391016
EUR
2
20250127000000 27.01.2025
9000000000003077 3.07653
8999999999998235 – 1.77
8999999999998421 – 1.58
9000000000000118 + 0.12
9000000000001360 + 1.36
USA Index Fund I G FI4000391008
EUR
2
20250127000000 27.01.2025
9000000000007287 7.28748
8999999999998235 – 1.77
8999999999998421 – 1.58
9000000000000118 + 0.12
9000000000001360 + 1.36