BNP Paribas Funds Aqua Classic CapitalisationLU1165135440
|
|
Aksjefond, Global |
3 |
ARTICLE_9 |
ARTICLE_9![](/image/article_9_icon.png) |
9000000000003020+3,02 % |
9000000000009362+9,36 % |
9000000000014320+14,32 % |
9000000000063109+63,11 % |
00000000000000022,23% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
BNP Paribas Funds Climate Impact Classic CapitalisationLU0406802339
|
|
Aksjefond, Global |
3 |
ARTICLE_9 |
ARTICLE_9![](/image/article_9_icon.png) |
9000000000000871+0,87 % |
8999999999999866– 0,13 % |
8999999999990588– 9,41 % |
9000000000038235+38,24 % |
00000000000000032,68% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
BlackRock Global Funds - European Fund A2LU0011846440
|
|
Aksjefond, Europa |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000011941+11,94 % |
9000000000012846+12,85 % |
9000000000009467+9,47 % |
9000000000071458+71,46 % |
00000000000000021,81% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
China Class A-nokLU2607345985
|
|
Aksjefond, Kina |
|
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000010099+10,10 % |
8999999999995714– 4,29 % |
|
|
00000000000000022,15% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Denmark Focus Class A-nokLU2607347411
|
|
Aksjefond, Danmark |
|
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000016918+16,92 % |
9000000000011943+11,94 % |
|
|
00000000000000021,77% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Emerging Markets Sustainable Future Class A-nokLU1204910753
|
|
Aksjefond, Vekstmarkeder |
2 |
ARTICLE_9 |
ARTICLE_9![](/image/article_9_icon.png) |
9000000000004236+4,24 % |
8999999999999808– 0,19 % |
8999999999997732– 2,27 % |
9000000000024901+24,90 % |
00000000000000021,92% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Euro High Yield Obligasjon, klasse NOK hDK0060517159
|
|
Rentefond, Europa |
|
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000001591+1,59 % |
9000000000007484+7,48 % |
8999999999998693– 1,31 % |
9000000000006002+6,00 % |
00000000000000011,01% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Euro Investment Grade Corporate Bond Class A-nok hLU0178670245
|
|
Rentefond, Global |
|
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000000962+0,96 % |
9000000000007481+7,48 % |
8999999999994361– 5,64 % |
8999999999998645– 1,35 % |
00000000000000011,07% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Europe High Dividend, klasse NOKDK0060586980
|
|
Aksjefond, Europa |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000007096+7,10 % |
9000000000009276+9,28 % |
9000000000038535+38,53 % |
9000000000061489+61,49 % |
00000000000000021,54% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Europe Restricted, klasse NOKDK0060954964
|
|
Aksjefond, Europa |
3 |
ARTICLE_9 |
ARTICLE_9![](/image/article_9_icon.png) |
9000000000012192+12,19 % |
9000000000012616+12,62 % |
9000000000036869+36,87 % |
9000000000076565+76,57 % |
00000000000000000,30% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Europe Small Cap, klasse NOKDK0060587285
|
|
Aksjefond, Europa |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000004344+4,34 % |
9000000000002697+2,70 % |
8999999999993862– 6,14 % |
9000000000052099+52,10 % |
00000000000000011,49% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Fidelity Funds - America Fund A-DIST-USDLU0048573561
|
|
Aksjefond, Nord-Amerika |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000006015+6,01 % |
9000000000015147+15,15 % |
9000000000019523+19,52 % |
9000000000044896+44,90 % |
00000000000000021,89% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Fidelity Funds - Asian Special Situations Fund A-Acc-USDLU0261950983
|
|
Aksjefond, Vekstmarkeder |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000009566+9,57 % |
9000000000008641+8,64 % |
8999999999975946– 24,05 % |
9000000000004430+4,43 % |
00000000000000021,93% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Fidelity Funds - FIRST All Country World Fund A-Acc-EURLU0267387255
|
|
Aksjefond, Global |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000017033+17,03 % |
9000000000022758+22,76 % |
9000000000028022+28,02 % |
9000000000067944+67,94 % |
00000000000000021,92% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Fidelity Funds - Global Technology Fund A-DIST-EURLU0099574567
|
|
Aksjefond, Global |
5 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000015594+15,59 % |
9000000000030140+30,14 % |
9000000000042275+42,27 % |
9000000000171440+171,44 % |
00000000000000021,89% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Global AC Restricted, klasse NOKDK0060955185
|
|
Aksjefond, Global |
4 |
ARTICLE_9 |
ARTICLE_9![](/image/article_9_icon.png) |
9000000000019913+19,91 % |
9000000000021968+21,97 % |
9000000000050213+50,21 % |
9000000000115370+115,37 % |
00000000000000000,35% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Global Alternative Opportunities Class A pLU2401887679
|
|
Alternative, Global |
|
ARTICLE_6 |
ARTICLE_6 |
9000000000002323+2,32 % |
9000000000006258+6,26 % |
|
|
00000000000000011,25% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Global Emerging Markets Restricted, klasse NOKDK0060955268
|
|
Aksjefond, Vekstmarkeder |
2 |
ARTICLE_9 |
ARTICLE_9![](/image/article_9_icon.png) |
9000000000008495+8,50 % |
9000000000005150+5,15 % |
8999999999994456– 5,54 % |
9000000000027236+27,24 % |
00000000000000000,40% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Global Emerging Markets, klasse NOKDK0060563930
|
|
Aksjefond, Vekstmarkeder |
2 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000012814+12,81 % |
9000000000010391+10,39 % |
8999999999994511– 5,49 % |
9000000000037244+37,24 % |
00000000000000021,67% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Global High Yield Obligasjon, klasse NOK hDK0060517316
|
|
Rentefond, Global |
|
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000001680+1,68 % |
9000000000007731+7,73 % |
8999999999997306– 2,69 % |
9000000000008301+8,30 % |
00000000000000011,08% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Global Index Restricted Class SALU1349493418
|
|
Aksjefond, Global |
4 |
ARTICLE_9 |
ARTICLE_9![](/image/article_9_icon.png) |
9000000000015637+15,64 % |
9000000000016102+16,10 % |
9000000000042137+42,14 % |
9000000000089167+89,17 % |
00000000000000010,53% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Global Index, klasse NOK hDK0061539335
|
|
Aksjefond, Global |
|
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000013128+13,13 % |
9000000000019935+19,94 % |
9000000000022309+22,31 % |
|
00000000000000000,40% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Global Realrente Obligasjon, klasse NOK hDK0060517589
|
|
Rentefond, Global |
|
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
8999999999998613– 1,39 % |
9000000000000408+0,41 % |
8999999999987720– 12,28 % |
8999999999996295– 3,70 % |
00000000000000010,62% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Global Sustainable Future Class ALU0117088970
|
|
Aksjefond, Global |
3 |
ARTICLE_9 |
ARTICLE_9![](/image/article_9_icon.png) |
9000000000014473+14,47 % |
9000000000022493+22,49 % |
9000000000027816+27,82 % |
9000000000060268+60,27 % |
00000000000000021,87% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Global Sustainable Future Class A-nokLU2607346363
|
|
Aksjefond, Global |
|
ARTICLE_9 |
ARTICLE_9![](/image/article_9_icon.png) |
9000000000016281+16,28 % |
9000000000019273+19,27 % |
|
|
00000000000000021,87% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Global Sustainable Future, klasse NOKDK0060564235
|
|
Aksjefond, Global |
3 |
ARTICLE_9 |
ARTICLE_9![](/image/article_9_icon.png) |
9000000000016226+16,23 % |
9000000000018785+18,79 % |
9000000000044803+44,80 % |
9000000000098279+98,28 % |
00000000000000011,49% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Goldman Sachs Green Bond - P Cap NOK (hedged i)LU2374238447
|
|
Rentefond, Global |
|
ARTICLE_9 |
ARTICLE_9![](/image/article_9_icon.png) |
8999999999998930– 1,07 % |
9000000000004315+4,32 % |
|
|
00000000000000010,60% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Goldman Sachs Green Bond Short Duration - P Cap NOK (hedged i)LU2381866412
|
|
Rentefond, Global |
|
ARTICLE_9 |
ARTICLE_9![](/image/article_9_icon.png) |
9000000000001679+1,68 % |
9000000000006452+6,45 % |
|
|
00000000000000010,62% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont 100, klasse NOKDK0060657591
|
|
Fond i Fond, Global |
2 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000015172+15,17 % |
9000000000017257+17,26 % |
9000000000033683+33,68 % |
9000000000080188+80,19 % |
00000000000000021,63% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont 100, klasse NOK IDK0060657674
|
|
Fond i Fond, Global |
2 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000015247+15,25 % |
9000000000017410+17,41 % |
9000000000034270+34,27 % |
9000000000081916+81,92 % |
00000000000000021,50% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont 20NO0010621758
|
|
Kombinasjonsfond, Global |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000005157+5,16 % |
9000000000009916+9,92 % |
9000000000010935+10,94 % |
9000000000023052+23,05 % |
00000000000000010,89% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont 20, klasse NOKDK0060656437
|
|
Kombinasjonsfond, Global |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000005246+5,25 % |
9000000000010137+10,14 % |
9000000000010227+10,23 % |
9000000000024041+24,04 % |
00000000000000010,90% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont 20, klasse NOK IDK0060656510
|
|
Kombinasjonsfond, Global |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000005352+5,35 % |
9000000000010354+10,35 % |
9000000000010886+10,89 % |
9000000000025283+25,28 % |
00000000000000010,70% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont 35NO0010667686
|
|
Kombinasjonsfond, Global |
2 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000007056+7,06 % |
9000000000011361+11,36 % |
9000000000015139+15,14 % |
9000000000033129+33,13 % |
00000000000000011,07% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont 35, klasse NOKDK0060656783
|
|
Kombinasjonsfond, Global |
2 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000007188+7,19 % |
9000000000011537+11,54 % |
9000000000014337+14,34 % |
9000000000033555+33,55 % |
00000000000000011,10% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont 35, klasse NOK IDK0060656866
|
|
Kombinasjonsfond, Global |
2 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000007296+7,30 % |
9000000000011763+11,76 % |
9000000000015029+15,03 % |
9000000000034914+34,91 % |
00000000000000010,90% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont 50NO0010621766
|
|
Kombinasjonsfond, Global |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000008985+8,99 % |
9000000000012956+12,96 % |
9000000000020225+20,22 % |
9000000000044455+44,45 % |
00000000000000011,21% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont 50, klasse NOKDK0060656940
|
|
Kombinasjonsfond, Global |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000009270+9,27 % |
9000000000013195+13,20 % |
9000000000018771+18,77 % |
9000000000045175+45,17 % |
00000000000000011,25% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont 50, klasse NOK IDK0060657088
|
|
Kombinasjonsfond, Global |
4 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000009352+9,35 % |
9000000000013365+13,36 % |
9000000000019323+19,32 % |
9000000000046288+46,29 % |
00000000000000011,10% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont 65NO0010667694
|
|
Kombinasjonsfond, Global |
2 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000010863+10,86 % |
9000000000014294+14,29 % |
9000000000024743+24,74 % |
9000000000055311+55,31 % |
00000000000000011,39% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont 65, klasse NOKDK0060657161
|
|
Kombinasjonsfond, Global |
2 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000011166+11,17 % |
9000000000014527+14,53 % |
9000000000022763+22,76 % |
9000000000055545+55,55 % |
00000000000000011,40% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont 65, klasse NOK IDK0060657245
|
|
Kombinasjonsfond, Global |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000011250+11,25 % |
9000000000014696+14,70 % |
9000000000023315+23,32 % |
9000000000056715+56,72 % |
00000000000000011,25% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont 80NO0010621774
|
|
Kombinasjonsfond, Global |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000012897+12,90 % |
9000000000015925+15,93 % |
9000000000029869+29,87 % |
9000000000067829+67,83 % |
00000000000000021,53% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont 80, klasse NOKDK0060657328
|
|
Kombinasjonsfond, Global |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000013011+13,01 % |
9000000000015777+15,78 % |
9000000000027362+27,36 % |
9000000000067255+67,25 % |
00000000000000021,55% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont 80, klasse NOK IDK0060657401
|
|
Kombinasjonsfond, Global |
4 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000013069+13,07 % |
9000000000015881+15,88 % |
9000000000027768+27,77 % |
9000000000068124+68,12 % |
00000000000000011,45% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont AksjeNO0010219058
|
|
Fond i Fond, Global |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000014539+14,54 % |
9000000000017429+17,43 % |
9000000000035926+35,93 % |
9000000000081443+81,44 % |
00000000000000021,71% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont RenteNO0010521313
|
|
Fond i Fond, Global |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000003471+3,47 % |
9000000000008583+8,58 % |
9000000000008235+8,24 % |
9000000000014738+14,74 % |
00000000000000010,52% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont Rente Konservativ Institusjon, klasse NOK IDK0060657831
|
|
Kombinasjonsfond, Global |
2 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000002819+2,82 % |
9000000000008359+8,36 % |
9000000000007200+7,20 % |
9000000000012479+12,48 % |
00000000000000000,35% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont Rente Konservativ, klasse NOKDK0060657757
|
|
Kombinasjonsfond, Global |
2 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000002743+2,74 % |
9000000000008195+8,20 % |
9000000000006725+6,72 % |
9000000000011669+11,67 % |
00000000000000010,50% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont Rente Pluss, klasse NOKDK0060506624
|
|
Kombinasjonsfond, Global |
1 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000002808+2,81 % |
9000000000008053+8,05 % |
9000000000005449+5,45 % |
9000000000011086+11,09 % |
00000000000000010,74% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Horisont Rente Pluss, klasse NOK IDK0060517829
|
|
Kombinasjonsfond, Global |
1 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000002932+2,93 % |
9000000000008315+8,31 % |
9000000000006213+6,21 % |
9000000000012403+12,40 % |
00000000000000010,50% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
JPMorgan Funds - US Smaller Companies Fund A (acc) - USDLU0210528922
|
|
Aksjefond, Nord-Amerika |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
8999999999998122– 1,88 % |
9000000000003007+3,01 % |
8999999999992666– 7,33 % |
9000000000027608+27,61 % |
00000000000000021,72% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
JPMorgan Investment Funds - US Select Equity Fund A (acc) - USDLU0070214290
|
|
Aksjefond, Global |
4 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000015543+15,54 % |
9000000000025512+25,51 % |
9000000000028895+28,90 % |
9000000000100003+100,00 % |
00000000000000021,69% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Japan Restricted, klasse NOKDK0060955342
|
|
Aksjefond, Japan |
2 |
ARTICLE_9 |
ARTICLE_9![](/image/article_9_icon.png) |
9000000000007263+7,26 % |
9000000000006774+6,77 % |
9000000000020240+20,24 % |
9000000000054984+54,98 % |
00000000000000000,30% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Norden Ansvarlig Fokus, klasse NOKDK0062495073
|
|
Aksjefond, Norden |
|
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000015564+15,56 % |
|
|
|
00000000000000011,37% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Nordisk Kredittobligasjon, klasse NOK hDK0060500692
|
|
Rentefond, Norden |
|
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000002438+2,44 % |
9000000000007371+7,37 % |
9000000000003887+3,89 % |
9000000000009072+9,07 % |
00000000000000010,80% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Norge INO0008000577
|
|
Aksjefond, Norge |
2 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000011309+11,31 % |
9000000000017745+17,74 % |
9000000000022248+22,25 % |
9000000000055859+55,86 % |
00000000000000021,55% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Norge IINO0008000460
|
|
Aksjefond, Norge |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000011536+11,54 % |
9000000000018258+18,26 % |
9000000000023125+23,13 % |
9000000000058718+58,72 % |
00000000000000011,25% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Norge VekstNO0008000486
|
|
Aksjefond, Norge |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000012494+12,49 % |
9000000000012523+12,52 % |
9000000000000699+0,70 % |
9000000000065881+65,88 % |
00000000000000021,75% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Norsk Kort Obligasjon, klasse NOKDK0060517746
|
|
Rentefond, Norge |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000004023+4,02 % |
9000000000008655+8,65 % |
9000000000010638+10,64 % |
9000000000015024+15,02 % |
00000000000000000,43% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Norsk Kort Obligasjon, klasse NOK IDK0060506707
|
|
Rentefond, Norge |
5 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000004168+4,17 % |
9000000000008961+8,96 % |
9000000000011573+11,57 % |
9000000000016649+16,65 % |
00000000000000000,15% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Norsk Likviditet INO0008000536
|
|
Rentefond, Norge |
|
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000003220+3,22 % |
9000000000006693+6,69 % |
9000000000010290+10,29 % |
9000000000013718+13,72 % |
00000000000000000,35% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Norsk Likviditet Institusjon ANO0010047236
|
|
Rentefond, Norge |
|
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000002690+2,69 % |
9000000000005657+5,66 % |
9000000000009611+9,61 % |
9000000000012488+12,49 % |
00000000000000000,20% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Norsk Likviditet Institusjon BNO0010873664
|
|
Rentefond, Norge |
|
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000002715+2,71 % |
9000000000005712+5,71 % |
9000000000009773+9,77 % |
|
00000000000000000,14% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Norsk Likviditet OMFNO0010667678
|
|
Rentefond, Norge |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000003083+3,08 % |
9000000000006167+6,17 % |
9000000000009445+9,45 % |
9000000000012830+12,83 % |
00000000000000000,15% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Norsk ObligasjonNO0008000544
|
|
Rentefond, Norge |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000001907+1,91 % |
9000000000008244+8,24 % |
9000000000004002+4,00 % |
9000000000010314+10,31 % |
00000000000000000,35% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Norsk Obligasjon Institusjon ANO0010241490
|
|
Rentefond, Norge |
4 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000002718+2,72 % |
9000000000009527+9,53 % |
9000000000005448+5,45 % |
9000000000013356+13,36 % |
00000000000000000,15% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Norsk Obligasjon Institusjon BNO0010873649
|
|
Rentefond, Norge |
4 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000002726+2,73 % |
9000000000009539+9,54 % |
9000000000005503+5,50 % |
|
00000000000000000,13% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Norske Aksjer Institusjon I ANO0010047228
|
|
Aksjefond, Norge |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000012146+12,15 % |
9000000000019032+19,03 % |
9000000000025771+25,77 % |
9000000000062621+62,62 % |
00000000000000010,90% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Norske Aksjer Institusjon II ANO0010340748
|
|
Aksjefond, Norge |
3 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000011607+11,61 % |
9000000000018470+18,47 % |
9000000000024390+24,39 % |
9000000000061426+61,43 % |
00000000000000010,90% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Norske Aksjer Institusjon Restricted, klasse NOK IDK0060637643
|
|
Aksjefond, Norge |
1 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000008692+8,69 % |
9000000000015832+15,83 % |
9000000000016756+16,76 % |
9000000000047998+48,00 % |
00000000000000011,00% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Norway Restricted, klasse NOKDK0060955425
|
|
Aksjefond, Norden |
2 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000007636+7,64 % |
9000000000015717+15,72 % |
9000000000014762+14,76 % |
9000000000052333+52,33 % |
00000000000000000,23% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Nye Markeder Obligasjon Lokal Valuta, klasse NOKDK0060575355
|
|
Rentefond, Vekstmarkeder |
2 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
8999999999999942– 0,06 % |
8999999999999030– 0,97 % |
9000000000010181+10,18 % |
9000000000013747+13,75 % |
00000000000000011,15% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Nye Markeder Obligasjon, klasse NOK hDK0060517662
|
|
Rentefond, Vekstmarkeder |
|
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000002651+2,65 % |
9000000000009804+9,80 % |
8999999999989112– 10,89 % |
8999999999994731– 5,27 % |
00000000000000011,02% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
SPDR® Bloomberg Euro Government Bond UCITS ETFIE00B3S5XW04
|
|
Rentefond, Europa |
3 |
ARTICLE_6 |
ARTICLE_6 |
8999999999997978– 2,02 % |
9000000000002311+2,31 % |
8999999999984855– 15,14 % |
8999999999986809– 13,19 % |
00000000000000000,10% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
SPDR® Russell 2000 US Small Cap UCITS ETFIE00BJ38QD84
|
|
Aksjefond, Nord-Amerika |
2 |
ARTICLE_6 |
ARTICLE_6 |
9000000000001581+1,58 % |
9000000000009575+9,58 % |
8999999999991266– 8,73 % |
9000000000037253+37,25 % |
00000000000000000,30% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
T. Rowe Price Funds SICAV - Global High Yield Bond Fund An NOKLU0181685537
|
|
Rentefond, Global |
|
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000001283+1,28 % |
9000000000007928+7,93 % |
8999999999998358– 1,64 % |
9000000000008073+8,07 % |
00000000000000011,29% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
USA Index, klasse NOKDK0060517076
|
|
Aksjefond, Nord-Amerika |
2 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000020051+20,05 % |
9000000000023022+23,02 % |
9000000000057122+57,12 % |
9000000000108707+108,71 % |
00000000000000000,35% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
USA Restricted, klasse NOKDK0060955698
|
|
Aksjefond, Nord-Amerika |
4 |
ARTICLE_9 |
ARTICLE_9![](/image/article_9_icon.png) |
9000000000021349+21,35 % |
9000000000025089+25,09 % |
9000000000063743+63,74 % |
9000000000152913+152,91 % |
00000000000000000,30% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Xtrackers II Eurozone Government Bond 3-5 UCITS ETF 1CLU0290356954
|
|
Rentefond, Europa |
4 |
ARTICLE_6 |
ARTICLE_6 |
8999999999998989– 1,01 % |
9000000000003326+3,33 % |
8999999999993196– 6,80 % |
8999999999994545– 5,45 % |
00000000000000000,17% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Xtrackers MSCI World Communication Services UCITS ETF 1CIE00BM67HR47
|
|
Aksjefond, Global |
5 |
ARTICLE_6 |
ARTICLE_6 |
9000000000021325+21,33 % |
9000000000036015+36,02 % |
9000000000009704+9,70 % |
9000000000071754+71,75 % |
00000000000000000,25% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Xtrackers MSCI World Consumer Discretionary UCITS ETF 1CIE00BM67HP23
|
|
Aksjefond, Global |
4 |
ARTICLE_6 |
ARTICLE_6 |
9000000000004265+4,26 % |
9000000000009319+9,32 % |
9000000000000141+0,14 % |
9000000000060951+60,95 % |
00000000000000000,25% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Xtrackers MSCI World Consumer Staples UCITS ETF 1CIE00BM67HN09
|
|
Aksjefond, Global |
4 |
ARTICLE_6 |
ARTICLE_6 |
9000000000003490+3,49 % |
9000000000002038+2,04 % |
9000000000006964+6,96 % |
9000000000029498+29,50 % |
00000000000000000,25% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Xtrackers MSCI World Energy UCITS ETF 1CIE00BM67HM91
|
|
Aksjefond, Global |
4 |
ARTICLE_6 |
ARTICLE_6 |
9000000000008444+8,44 % |
9000000000015828+15,83 % |
9000000000073153+73,15 % |
9000000000056488+56,49 % |
00000000000000000,25% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Xtrackers MSCI World Financials UCITS ETF 1CIE00BM67HL84
|
|
Aksjefond, Global |
4 |
ARTICLE_6 |
ARTICLE_6 |
9000000000010177+10,18 % |
9000000000023856+23,86 % |
9000000000022002+22,00 % |
9000000000055778+55,78 % |
00000000000000000,25% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Xtrackers MSCI World Health Care UCITS ETF 1CIE00BM67HK77
|
|
Aksjefond, Global |
4 |
ARTICLE_6 |
ARTICLE_6 |
9000000000007972+7,97 % |
9000000000011123+11,12 % |
9000000000015364+15,36 % |
9000000000061123+61,12 % |
00000000000000000,25% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Xtrackers MSCI World Industrials UCITS ETF 1CIE00BM67HV82
|
|
Aksjefond, Global |
4 |
ARTICLE_6 |
ARTICLE_6 |
9000000000007278+7,28 % |
9000000000015708+15,71 % |
9000000000019143+19,14 % |
9000000000059023+59,02 % |
00000000000000000,25% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Xtrackers MSCI World Information Technology UCITS ETF 1CIE00BM67HT60
|
|
Aksjefond, Global |
5 |
ARTICLE_6 |
ARTICLE_6 |
9000000000024991+24,99 % |
9000000000038169+38,17 % |
9000000000052220+52,22 % |
9000000000187697+187,70 % |
00000000000000000,25% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
Xtrackers MSCI World Utilities UCITS ETF 1CIE00BM67HQ30
|
|
Aksjefond, Global |
4 |
ARTICLE_6 |
ARTICLE_6 |
9000000000004672+4,67 % |
9000000000005103+5,10 % |
9000000000010792+10,79 % |
9000000000026148+26,15 % |
00000000000000000,25% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
iShares $ TIPS 0-5 UCITS ETF USD (Dist)IE00BDQYWQ65
|
|
Rentefond, Global |
5 |
ARTICLE_6 |
ARTICLE_6 |
8999999999998651– 1,35 % |
9000000000001559+1,56 % |
9000000000002566+2,57 % |
9000000000012303+12,30 % |
00000000000000000,10% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
iShares $ Treasury Bond 3-7yr UCITS ETF USD (Acc)IE00B3VWN393
|
|
Rentefond, Nord-Amerika |
5 |
ARTICLE_6 |
ARTICLE_6 |
8999999999999932– 0,07 % |
9000000000003178+3,18 % |
8999999999993641– 6,36 % |
8999999999999870– 0,13 % |
00000000000000000,07% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
iShares Core Global Aggregate Bond UCITS ETF EUR Hedged (Acc)IE00BDBRDM35
|
|
Rentefond, Global |
3 |
ARTICLE_6 |
ARTICLE_6 |
8999999999999280– 0,72 % |
9000000000002263+2,26 % |
8999999999989236– 10,76 % |
8999999999991302– 8,70 % |
00000000000000000,10% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
iShares Core MSCI EM IMI UCITS ETF USD (Acc)IE00BKM4GZ66
|
|
Aksjefond, Vekstmarkeder |
4 |
ARTICLE_6 |
ARTICLE_6 |
9000000000007421+7,42 % |
9000000000013460+13,46 % |
8999999999988160– 11,84 % |
9000000000021142+21,14 % |
00000000000000000,18% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
iShares Core S&P 500 UCITS ETF USD (Acc)IE00B5BMR087
|
|
Aksjefond, Nord-Amerika |
5 |
ARTICLE_6 |
ARTICLE_6 |
9000000000015135+15,14 % |
9000000000024210+24,21 % |
9000000000032011+32,01 % |
9000000000098564+98,56 % |
00000000000000000,07% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
iShares Core € Corp Bond UCITS ETF EUR (Dist)IE00B3F81R35
|
|
Rentefond, Global |
3 |
ARTICLE_6 |
ARTICLE_6 |
9000000000000466+0,47 % |
9000000000006286+6,29 % |
8999999999992869– 7,13 % |
8999999999995456– 4,54 % |
00000000000000000,20% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
iShares Edge MSCI Europe Value Factor UCITS ETF EUR (Acc)IE00BQN1K901
|
|
Aksjefond, Global |
3 |
ARTICLE_6 |
ARTICLE_6 |
9000000000006797+6,80 % |
9000000000011042+11,04 % |
9000000000025802+25,80 % |
9000000000048970+48,97 % |
00000000000000000,25% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
iShares Edge MSCI USA Quality Factor UCITS ETF USD (Acc)IE00BD1F4L37
|
|
Aksjefond, Global |
4 |
ARTICLE_6 |
ARTICLE_6 |
9000000000016239+16,24 % |
9000000000027650+27,65 % |
9000000000032556+32,56 % |
9000000000097558+97,56 % |
00000000000000000,20% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
iShares Global High Yield Corp Bond UCITS ETF EUR Hedged (Dist)IE00BJSFR200
|
|
Rentefond, Global |
3 |
ARTICLE_6 |
ARTICLE_6 |
8999999999998816– 1,18 % |
9000000000005214+5,21 % |
8999999999996966– 3,03 % |
9000000000004676+4,68 % |
00000000000000010,55% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
iShares Global Inflation Linked Govt Bond UCITS ETF EUR Hedged (Dist)IE00BD8PH174
|
|
Rentefond, Global |
3 |
ARTICLE_6 |
ARTICLE_6 |
8999999999998119– 1,88 % |
8999999999999683– 0,32 % |
8999999999984802– 15,20 % |
8999999999991356– 8,64 % |
00000000000000000,20% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
iShares MSCI EMU ESG Screened UCITS ETF EUR (Acc)IE00BFNM3B99
|
|
Aksjefond, Global |
4 |
ARTICLE_8![](/image/article_8_icon.png) |
ARTICLE_8 |
9000000000009266+9,27 % |
9000000000013051+13,05 % |
9000000000021546+21,55 % |
9000000000051441+51,44 % |
00000000000000000,12% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |
iShares VII PLC -iShares Core MSCI EMU UCITS ETF EUR (Acc)IE00B53QG562
|
|
Aksjefond, Europa |
4 |
ARTICLE_6 |
ARTICLE_6 |
9000000000008711+8,71 % |
9000000000012051+12,05 % |
9000000000021094+21,09 % |
9000000000049804+49,80 % |
00000000000000000,12% |
![Nøkkelinformasjon (PRIIPs)](/image/icon_pdf.png) |
![Faktaark](/image/icon_pdf.png) |