2030 Fund D FI0008800909
EUR
5
20250304000000 04.03.2025
9000000000000984 0.98400
8999999999998054 – 1.95
8999999999998077 – 1.92
8999999999997918 – 2.08
9000000000000133 + 0.13
2030 Fund G FI0008800826
EUR
5
20250304000000 04.03.2025
9000000000002785 2.78528
8999999999998053 – 1.95
8999999999998077 – 1.92
8999999999997918 – 2.08
9000000000000132 + 0.13
2040 Fund D FI0008808035
EUR
4
20250304000000 04.03.2025
9000000000001736 1.73559
8999999999997480 – 2.52
8999999999997438 – 2.56
8999999999996931 – 3.07
9000000000000006 + 0.01
2040 Fund G FI0008808027
EUR
4
20250304000000 04.03.2025
9000000000003673 3.67252
8999999999997479 – 2.52
8999999999997438 – 2.56
8999999999996931 – 3.07
9000000000000005 + 0.01
Bond Fund D FI0008803093
EUR
2
20250304000000 04.03.2025
9000000000000140 0.14013
9000000000000079 + 0.08
9000000000000036 + 0.04
8999999999999815 – 0.19
9000000000000200 + 0.20
Bond Fund G FI0008803085
EUR
2
20250304000000 04.03.2025
9000000000000350 0.35038
9000000000000080 + 0.08
9000000000000031 + 0.03
8999999999999818 – 0.18
9000000000000200 + 0.20
Bond Fund I D FI4000391032
EUR
1
20250304000000 04.03.2025
9000000000014449 14.44938
9000000000000081 + 0.08
9000000000000034 + 0.03
8999999999999825 – 0.18
9000000000000218 + 0.22
Bond Fund I G FI4000391024
EUR
2
20250304000000 04.03.2025
9000000000036152 36.15203
9000000000000081 + 0.08
9000000000000034 + 0.03
8999999999999825 – 0.18
9000000000000218 + 0.22
China Fund D FI0008808522
EUR
3
20250303000000 03.03.2025
9000000000001581 1.58113
8999999999997978 – 2.02
8999999999997337 – 2.66
9000000000006444 + 6.44
9000000000012026 + 12.03
China Fund G FI0008808514
EUR
3
20250303000000 03.03.2025
9000000000003649 3.64932
8999999999997978 – 2.02
8999999999997337 – 2.66
9000000000006444 + 6.44
9000000000012025 + 12.03
Compass 25 Fund D FI0008803317
EUR
4
20250304000000 04.03.2025
9000000000000894 0.89399
8999999999999259 – 0.74
8999999999999286 – 0.71
8999999999999275 – 0.73
9000000000000761 + 0.76
Compass 25 Fund G FI0008803309
EUR
4
20250304000000 04.03.2025
9000000000002254 2.25415
8999999999999259 – 0.74
8999999999999286 – 0.71
8999999999999275 – 0.72
9000000000000760 + 0.76
Compass 50 Fund D FI0008805346
EUR
4
20250304000000 04.03.2025
9000000000001092 1.09175
8999999999998770 – 1.23
8999999999998803 – 1.20
8999999999998696 – 1.30
9000000000000777 + 0.78
Compass 50 Fund G FI0008805338
EUR
4
20250304000000 04.03.2025
9000000000002611 2.61076
8999999999998769 – 1.23
8999999999998803 – 1.20
8999999999998697 – 1.30
9000000000000777 + 0.78
Compass 75 Fund D FI0008805361
EUR
4
20250304000000 04.03.2025
9000000000001227 1.22710
8999999999998059 – 1.94
8999999999998046 – 1.95
8999999999997768 – 2.23
9000000000000468 + 0.47
Compass 75 Fund G FI0008805353
EUR
4
20250304000000 04.03.2025
9000000000002932 2.93180
8999999999998059 – 1.94
8999999999998046 – 1.95
8999999999997769 – 2.23
9000000000000467 + 0.47
Compass Equity Fund D FI0008803291
EUR
2
20250304000000 04.03.2025
9000000000000673 0.67290
8999999999997549 – 2.45
8999999999997711 – 2.29
8999999999997570 – 2.43
9000000000000371 + 0.37
Compass Equity Fund G FI0008803283
EUR
2
20250304000000 04.03.2025
9000000000001908 1.90821
8999999999997548 – 2.45
8999999999997711 – 2.29
8999999999997569 – 2.43
9000000000000370 + 0.37
Compass Liquidity Fund D FI0008803275
EUR
4
20250304000000 04.03.2025
9000000000000842 0.84154
8999999999999866 – 0.13
9000000000000001 + 0.00
9000000000000175 + 0.17
9000000000000893 + 0.89
Compass Liquidity Fund G FI0008803267
EUR
4
20250304000000 04.03.2025
9000000000001960 1.95956
8999999999999866 – 0.13
9000000000000002 + 0.00
9000000000000176 + 0.18
9000000000000894 + 0.89
ESG Equities Fund D FI0008802939
EUR
3
20250303000000 03.03.2025
9000000000000421 0.42090
8999999999998863 – 1.14
8999999999998740 – 1.26
8999999999996714 – 3.29
9000000000002751 + 2.75
ESG Equities Fund G FI0008802921
EUR
3
20250303000000 03.03.2025
9000000000001169 1.16856
8999999999998863 – 1.14
8999999999998741 – 1.26
8999999999996715 – 3.28
9000000000002752 + 2.75
Emerging Markets Debt Fund D (AIF) FI0008803333
EUR
4
20250303000000 03.03.2025
9000000000001200 1.19981
8999999999999527 – 0.47
9000000000000146 + 0.15
9000000000001224 + 1.22
9000000000002561 + 2.56
Emerging Markets Debt Fund G (AIF) FI0008803325
EUR
4
20250303000000 03.03.2025
9000000000002944 2.94416
8999999999999527 – 0.47
9000000000000146 + 0.15
9000000000001224 + 1.22
9000000000002561 + 2.56
Emerging Markets Sustainable Future Class A LU1116403194
EUR
2
20250304000000 04.03.2025
9000000000013757 13.757
8999999999998574 – 1.43
8999999999996642 – 3.36
8999999999997692 – 2.31
8999999999998779 – 1.22
Emerging Markets Sustainable Future Fund D FI0008809439
EUR
2
20250303000000 03.03.2025
9000000000000941 0.94064
8999999999998870 – 1.13
8999999999996835 – 3.16
8999999999997880 – 2.12
8999999999999747 – 0.25
Emerging Markets Sustainable Future Fund G FI0008809421
EUR
2
20250303000000 03.03.2025
9000000000001993 1.99275
8999999999998870 – 1.13
8999999999996836 – 3.16
8999999999997880 – 2.12
8999999999999746 – 0.25
Euro Corporate Bond Fund D FI0008803176
EUR
3
20250304000000 04.03.2025
9000000000000145 0.14463
9000000000000118 + 0.12
9000000000000062 + 0.06
9000000000000208 + 0.21
9000000000000738 + 0.74
Euro Corporate Bond Fund G FI0008803168
EUR
3
20250304000000 04.03.2025
9000000000000356 0.35646
9000000000000115 + 0.12
9000000000000059 + 0.06
9000000000000208 + 0.21
9000000000000738 + 0.74
Euro Government Bond Index Fund G FI0008810452
EUR
3
20250303000000 03.03.2025
9000000000001566 1.56572
8999999999999362 – 0.64
8999999999999894 – 0.11
8999999999999521 – 0.48
8999999999999969 – 0.03
Euro High Yield Fund D FI0008810171
EUR
2
20250304000000 04.03.2025
9000000000001057 1.05650
9000000000000027 + 0.03
9000000000000157 + 0.16
9000000000001200 + 1.20
9000000000001767 + 1.77
Euro High Yield Fund G FI0008810163
EUR
2
20250304000000 04.03.2025
9000000000002059 2.05875
9000000000000026 + 0.03
9000000000000158 + 0.16
9000000000001199 + 1.20
9000000000001766 + 1.77
Europe High Dividend Fund D FI0008805379
EUR
4
20250304000000 04.03.2025
9000000000037264 37.26410
8999999999999436 – 0.56
8999999999999840 – 0.16
9000000000004540 + 4.54
9000000000009867 + 9.87
Europe High Dividend Fund G FI0008804158
EUR
4
20250304000000 04.03.2025
9000000000098755 98.75458
8999999999999436 – 0.56
8999999999999840 – 0.16
9000000000004540 + 4.54
9000000000009867 + 9.87
Europe Small Cap Fund D FI0008802970
EUR
3
20250304000000 04.03.2025
9000000000000115 0.11510
8999999999998359 – 1.64
8999999999998200 – 1.80
8999999999998773 – 1.23
8999999999998807 – 1.19
Europe Small Cap Fund G FI0008802962
EUR
3
20250304000000 04.03.2025
9000000000000312 0.31225
8999999999998359 – 1.64
8999999999998201 – 1.80
8999999999998770 – 1.23
8999999999998804 – 1.20
European Corporate Green Bond Class A LU2019292965
EUR
0
20250303000000 03.03.2025
9000000000010460 10.460
8999999999999724 – 0.28
8999999999999914 – 0.09
9000000000000144 + 0.14
9000000000000722 + 0.72
European Corporate Sustainable Bond Class A LU1399304283
EUR
2
20250303000000 03.03.2025
9000000000010065 10.065
8999999999999683 – 0.32
8999999999999891 – 0.11
9000000000000000 + 0.00
9000000000000570 + 0.57
European Equity Fund D FI0008802996
EUR
4
20250304000000 04.03.2025
9000000000000215 0.21474
8999999999998804 – 1.20
8999999999999403 – 0.60
9000000000003340 + 3.34
9000000000008608 + 8.61
European Equity Fund G FI0008802988
EUR
4
20250304000000 04.03.2025
9000000000000655 0.65466
8999999999998803 – 1.20
8999999999999405 – 0.60
9000000000003343 + 3.34
9000000000008609 + 8.61
Finnish Equity Fund D FI0008803119
EUR
2
20250304000000 04.03.2025
9000000000000246 0.24632
8999999999998638 – 1.36
8999999999998092 – 1.91
9000000000002258 + 2.26
9000000000006748 + 6.75
Finnish Equity Fund G FI0008803101
EUR
2
20250304000000 04.03.2025
9000000000000767 0.76724
8999999999998639 – 1.36
8999999999998092 – 1.91
9000000000002256 + 2.26
9000000000006748 + 6.75
Finnish Equity Fund I D FI4000390976
EUR
1
20250304000000 04.03.2025
9000000000045615 45.61482
8999999999998639 – 1.36
8999999999998101 – 1.90
9000000000002291 + 2.29
9000000000006828 + 6.83
Finnish Equity Fund I G FI4000390968
EUR
2
20250304000000 04.03.2025
9000000000139817 139.81708
8999999999998639 – 1.36
8999999999998101 – 1.90
9000000000002291 + 2.29
9000000000006829 + 6.83
Global Emerging Markets, osuuslaji EUR DK0060564151
EUR
3
20250304000000 04.03.2025
9000000000013960 13.96
8999999999999148 – 0.85
8999999999996810 – 3.19
8999999999999007 – 0.99
9000000000000287 + 0.29
Institutional Liquidity Fund D FI0008803192
EUR
5
20250304000000 04.03.2025
9000000000017984 17.98365
9000000000000022 + 0.02
9000000000000078 + 0.08
9000000000000274 + 0.27
9000000000000664 + 0.66
Institutional Liquidity Fund G FI0008803184
EUR
5
20250304000000 04.03.2025
9000000000033427 33.42739
9000000000000022 + 0.02
9000000000000078 + 0.08
9000000000000274 + 0.27
9000000000000664 + 0.66
Institutional Liquidity Plus Fund D FI0008810379
EUR
5
20250304000000 04.03.2025
9000000000001021 1.02148
9000000000000043 + 0.04
9000000000000106 + 0.11
9000000000000325 + 0.33
9000000000000730 + 0.73
Institutional Liquidity Plus Fund G FI0008810361
EUR
5
20250304000000 04.03.2025
9000000000001549 1.54945
9000000000000043 + 0.04
9000000000000106 + 0.11
9000000000000325 + 0.33
9000000000000726 + 0.73
Japanese Equity Fund D FI0008802913
EUR
4
20250303000000 03.03.2025
9000000000000099 0.09878
8999999999998006 – 1.99
8999999999998426 – 1.57
8999999999998240 – 1.76
9000000000000519 + 0.52
Japanese Equity Fund G FI0008802905
EUR
4
20250303000000 03.03.2025
9000000000000270 0.27021
8999999999998012 – 1.99
8999999999998434 – 1.57
8999999999998240 – 1.76
9000000000000525 + 0.52
Kehittyvät Korkomarkkinat Paikallisvaluutta, osuuslaji EUR W DK0060910164
EUR
2
20250304000000 04.03.2025
9000000000011380 11.38
8999999999999650 – 0.35
8999999999998699 – 1.30
8999999999999215 – 0.78
9000000000001246 + 1.25
Kehittyvät Korkomarkkinat, paikallisvaluutta, osuuslaji EUR DK0060485522
EUR
3
20250304000000 04.03.2025
9000000000010190 10.19
8999999999999512 – 0.49
8999999999999415 – 0.59
8999999999999125 – 0.88
9000000000002309 + 2.31
Liquidity Fund D FI0008803077
EUR
4
20250304000000 04.03.2025
9000000000000158 0.15813
9000000000000019 + 0.02
9000000000000070 + 0.07
9000000000000260 + 0.26
9000000000000624 + 0.62
Liquidity Fund G FI0008803069
EUR
4
20250304000000 04.03.2025
9000000000000294 0.29396
9000000000000020 + 0.02
9000000000000068 + 0.07
9000000000000259 + 0.26
9000000000000623 + 0.62
MediLife Fund D FI0008802954
EUR
4
20250303000000 03.03.2025
9000000000001208 1.20793
8999999999999572 – 0.43
9000000000000942 + 0.94
8999999999999865 – 0.13
9000000000008497 + 8.50
MediLife Fund G FI0008802947
EUR
4
20250303000000 03.03.2025
9000000000003089 3.08867
8999999999999572 – 0.43
9000000000000942 + 0.94
8999999999999865 – 0.13
9000000000008496 + 8.50
Nordic Corporate Bond Plus Fund D FI0008804117
EUR
4
20250304000000 04.03.2025
9000000000018102 18.10229
9000000000000020 + 0.02
9000000000000126 + 0.13
9000000000000559 + 0.56
9000000000001216 + 1.22
Nordic Corporate Bond Plus Fund G FI0008804109
EUR
4
20250304000000 04.03.2025
9000000000034596 34.59644
9000000000000020 + 0.02
9000000000000127 + 0.13
9000000000000559 + 0.56
9000000000001216 + 1.22
Pohjoisen Yrityslainat, osuuslaji EUR h DK0060500429
EUR
5
20250304000000 04.03.2025
9000000000012280 12.28
9000000000000245 + 0.24
9000000000000163 + 0.16
9000000000000327 + 0.33
9000000000001153 + 1.15
Reaalikorko Maailma, osuuslaji EUR h DK0060485282
EUR
3
20250304000000 04.03.2025
9000000000012010 12.01
9000000000000167 + 0.17
9000000000000418 + 0.42
9000000000000755 + 0.76
9000000000001866 + 1.87
Technology Index Fund D FI0008803150
EUR
5
20250303000000 03.03.2025
9000000000000740 0.74033
8999999999996630 – 3.37
8999999999994732 – 5.27
8999999999991581 – 8.42
8999999999994874 – 5.13
Technology Index Fund G FI0008803143
EUR
5
20250303000000 03.03.2025
9000000000001904 1.90428
8999999999996631 – 3.37
8999999999994732 – 5.27
8999999999991581 – 8.42
8999999999994874 – 5.13
USA Index Fund D FI0008803135
EUR
2
20250303000000 03.03.2025
9000000000000135 0.13493
8999999999997712 – 2.29
8999999999997924 – 2.08
8999999999995532 – 4.47
8999999999999148 – 0.85
USA Index Fund G FI0008803127
EUR
2
20250303000000 03.03.2025
9000000000000389 0.38853
8999999999997714 – 2.29
8999999999997921 – 2.08
8999999999995530 – 4.47
8999999999999143 – 0.86
USA Index Fund I D FI4000391016
EUR
2
20250303000000 03.03.2025
9000000000003010 3.00952
8999999999997714 – 2.29
8999999999997923 – 2.08
8999999999995534 – 4.47
8999999999999153 – 0.85
USA Index Fund I G FI4000391008
EUR
2
20250303000000 03.03.2025
9000000000007129 7.12873
8999999999997714 – 2.29
8999999999997923 – 2.08
8999999999995534 – 4.47
8999999999999152 – 0.85