| ISIN | Namn | SAVR:s fondavgift | Ordinare fondavgift |
|---|---|---|---|
| LU1808992512 | AB All China Eq A USD | 1,95 % | |
| LU0079474960 | AB American Growth A USD | 1,37 % | |
| LU0469268469 | AB Asia Ex-Japan Eq A USD | 1,97 % | |
| LU1011997381 | AB Concentrated Global Eq A USD | 1,17 % | |
| LU1011998942 | AB Concentrated US Eq A USD | 1,24 % | |
| LU0736561761 | AB EM Local Cur Debt A2 USD | 1,58 % | |
| LU0736563031 | AB Emerging Market Corp Debt A2 USD | 1,07 % | |
| LU1005412207 | AB Emerging Market Low Vol Eq A USD | 2,01 % | |
| LU0246601768 | AB Emerging Markets Debt A2 USD | 0,95 % | |
| LU0040709171 | AB Emerging Markets Growth A USD | 1,65 % | |
| LU0474345724 | AB Emerging Markets Value A USD | 1,95 % | |
| LU0124675678 | AB European Eq A EUR | 1,46 % | |
| LU0528102642 | AB Eurozone Eq A EUR | 1,12 % | |
| LU1061039258 | AB Global Core Eq A USD | 1,31 % | |
| LU0124673897 | AB Global Value A USD | 1,57 % | |
| LU0058720904 | AB Intl Health Care A USD | 1,47 % | |
| LU0060230025 | AB Intl Technology A USD | 2,28 % | |
| LU1021288185 | AB Mortgage Income A2 Acc | 0,84 % | |
| LU0496384180 | AB SICAV I Sust Euro Hi Yld A2 EUR | 1,12 % | |
| LU2056363588 | AB Sust Glb Thematic Credit A2 EUR | 0,69 % | |
| LU0069063385 | AB Sustainable Glb Thematic A USD | 1,66 % | |
| LU0057025933 | AB Sustainable Glb Thematic AX USD | 1,66 % | |
| LU0124676726 | AB Sustainable US Thematic A USD | 1,36 % | |
| LU2221865798 | AB US High Yield A2 SEK H | 1,12 % | |
| LU0759706095 | AB US High Yield A2 USD | 1,05 % | |
| LU0493246853 | AB US Small and Mid-Cap Eq A USD | 1,76 % | |
| LU0231483743 | abrdn-All China Sustainable Eq A AccUSD | 1,39 % | |
| LU0476876163 | abrdn-All China Sustainable Eq S AccUSD | 1,51 % | |
| LU0011963245 | abrdn-Asia Pac Sustainable Eq A Acc USD | 1,59 % | |
| LU0231459107 | abrdn-Asian Smaller Companies A Acc USD | 1,73 % | |
| LU1146622755 | abrdn-China A Share Sust Eq A Acc USD | 1,44 % | |
| LU0132412106 | abrdn-Emerg Markets Equity A Acc USD | 1,48 % | |
| LU0476875942 | abrdn-Emerg Markets Equity S Acc USD | 1,59 % | |
| LU0278937759 | abrdn-Emerg Mrkt Smaller Comp A Acc USD | 2,06 % | |
| LU0119176310 | abrdn-Euro High Yield Bond A Acc EUR | 1,14 % | |
| LU2185882474 | abrdn-Frontier Mrkts Bond A Acc HSEK | 1,31 % | |
| LU0963865083 | abrdn-Frontier Mrkts Bond A M Inc USD | 1,33 % | |
| LU0505784297 | abrdn-Future Minerals S Acc USD | 1,25 % | |
| LU0476877211 | abrdn-Global Innovation Eqty S Acc USD | 1,46 % | |
| LU0094547139 | abrdn-Global Sustainable Eqty A Acc USD | 1,09 % | |
| LU0231490524 | abrdn-Indian Equity A Acc USD | 1,19 % | |
| LU0476876833 | abrdn-Japan Sml Comp Sust Eq S Acc JPY | 1,48 % | |
| LU1646952801 | abrdn-US Dollar Credit Sust Bd A AccUSD | 0,78 % | |
| LI1239710810 | Active Value Partners Opp Fund EUR R | 5,19 % | |
| LU2083136650 | AGCM Asia Dividend RC1 SEK | 4,24 % | |
| LU1091660909 | AGCM Asia Growth RC SEK | 1,96 % | |
| LU1608617111 | AGCM China Stars RC1 SEK | 2,67 % | |
| FI0008801071 | Aktia Capital B | 1,06 % | |
| FI0008803853 | Aktia Corporate Bond+ B | 0,40 % | |
| FI0008811708 | Aktia Emerging Market Bond+ B | 0,55 % | |
| FI0008813555 | Aktia Emerging Market Local Ccy Bd B | 0,69 % | |
| FI0008810569 | Aktia Nordic B | 1,22 % | |
| FI4000029632 | Aktia Nordic Small Cap B | 1,16 % | |
| FI0008804877 | Aktia Secura B | 1,09 % | |
| FI0008804919 | Aktia Solida B | 0,65 % | |
| FI0008811229 | Aktia Sustainable Government Bond B | 0,45 % | |
| SE0000735771 | Aktie-Ansvar Avkastningsfond | 0,43 % | |
| SE0000735797 | Aktie-Ansvar Europa | 1,03 % | |
| SE0014428165 | Aktie-Ansvar Räntestrategi | 0,59 % | |
| SE0005218120 | Aktie-Ansvar Saxxum Aktiv A | 1,10 % | |
| SE0000735789 | Aktie-Ansvar Sverige A | 1,04 % | |
| SE0003428143 | Aktie-Ansvar Total | 0,99 % | |
| SE0008321780 | Aktiespararna Direktavkastning A | 0,26 % | |
| SE0013720000 | Aktiespararna Direktavkastning B | 0,26 % | |
| SE0021921087 | Aktiespararna Global Direktavkastning A | 0,53 % | |
| SE0021921095 | Aktiespararna Global Direktavkastning B | 0,54 % | |
| SE0011415256 | Aktiespararna Småbolag Edge | 0,54 % | |
| SE0000924649 | Aktiespararna Topp Sverige A | 0,22 % | |
| NO0010089444 | Alfred Berg Aktiv R (NOK) | 0,99 % | |
| NO0010105489 | Alfred Berg Gambak R (NOK) | 1,18 % | |
| SE0016275697 | Alfred Berg Income R (SEK) | 0,55 % | |
| SE0013877453 | Alfred Berg Nordic HY R (SEK) | 0,50 % | |
| NO0012479775 | Alfred Berg Nordic Index R (SEK) | 0,28 % | |
| SE0014399549 | Alfred Berg Nordic Small Cap R (SEK) | 1,55 % | |
| NO0010089402 | Alfred Berg Norge R (NOK) | 0,77 % | |
| SE0018690257 | Alfred Berg Sverige Gambak R (SEK) | 0,94 % | |
| IE00B8J38129 | Algebris Financial Credit R EUR Acc | 1,05 % | |
| IE00BK017F69 | Algebris Financial Credit R USD Acc | 1,18 % | |
| IE00BWY56V74 | Algebris Financial Equity R EUR Acc | 1,64 % | |
| IE00BWY56W81 | Algebris Financial Equity R USD Acc | 1,64 % | |
| IE00BCZQ7T48 | Algebris Financial Income R EUR Acc | 1,31 % | |
| IE00BCZNXN11 | Algebris Financial Income R USD Acc | 1,31 % | |
| IE00BYT37C84 | Algebris Global Crdt Opps R USD Acc | 2,83 % | |
| LU1720050803 | Allianz All China Equity AT USD | 1,69 % | |
| LU0348788117 | Allianz Asia Ex China Equity A (USD) | 1,63 % | |
| LU2289578879 | Allianz China A Opportunities AT USD | 1,69 % | |
| LU1997245177 | Allianz China A Shares AT USD | 1,67 % | |
| LU0348825331 | Allianz China Equity A USD | 1,61 % | |
| LU1865149808 | Allianz Climate Transition EuropeAT EUR | 1,25 % | |
| LU2286300806 | Allianz Cyber Security AT USD Acc | 1,41 % | |
| LU0542493225 | Allianz Dynamic Commodities A EUR | 1,11 % | |
| LU0482909818 | Allianz Euro High Yield Bond A EUR | 1,14 % | |
| LU0920839346 | Allianz Europe Equity Gr Sel AT EUR | 1,22 % | |
| LU0256839191 | Allianz Europe Equity Growth A EUR | 1,22 % | |
| LU0256839274 | Allianz Europe Equity Growth AT EUR | 1,22 % | |
| LU0293315296 | Allianz Europe Small Cap Equity AT EUR | 1,36 % | |
| LU0745992734 | Allianz Flexi Asia Bond AM USD | 1,22 % | |
| LU0293313325 | Allianz GEM Equity High Div AT EUR | 1,62 % | |
| LU0840617350 | Allianz German Equity AT EUR | 1,22 % | |
| LU1548497699 | Allianz Global Artfcl Intlgc AT EUR | 1,48 % | |
| LU1633808545 | Allianz Global Equity Growth AT USD | 1,22 % | |
| LU1480270997 | Allianz Global High Yield A USD | 1,21 % | |
| LU0589944643 | Allianz Global Metals and Mining A EUR | 1,23 % | |
| LU0963586101 | Allianz Global Small Cap Equity AT USD | 1,40 % | |
| LU0158827781 | Allianz Global Sustainability AT USD | 1,22 % | |
| LU1890834598 | Allianz Global Water AT EUR | 1,36 % | |
| LU1522997029 | Allianz Green Bond AT3 H2 SEK | 0,61 % | |
| LU0689472784 | Allianz Income and Growth AT USD | 1,10 % | |
| LU0396102641 | Allianz Little Dragons A2 EUR | 1,73 % | |
| LU1931535931 | Allianz Pet and Animal Wlb AT EUR | 1,34 % | |
| LU2048586759 | Allianz Smart Energy AT USD | 1,29 % | |
| LU1981791327 | Allianz Thematica AT EUR | 1,30 % | |
| LU0348814566 | Allianz Total Return Asian Eq A EUR | 1,65 % | |
| LU0516397667 | Allianz US High Yield AM USD | 0,86 % | |
| SE0002572313 | AMF Aktiefond Asien Stilla havet | 0,46 % | |
| SE0000739153 | AMF Aktiefond Europa | 0,45 % | |
| SE0000862278 | AMF Aktiefond Global | 0,61 % | |
| SE0002042283 | AMF Aktiefond Nordamerika | 0,42 % | |
| SE0001185000 | AMF Aktiefond Småbolag | 0,45 % | |
| SE0000739195 | AMF Aktiefond Sverige | 0,41 % | |
| SE0013110798 | AMF Aktiefond Tillväxtmarknader | 0,38 % | |
| SE0000739161 | AMF Aktiefond Världen | 0,51 % | |
| SE0000739179 | AMF Balansfond | 0,42 % | |
| SE0011414606 | AMF Företagsobligationsfond | 0,14 % | |
| SE0001184961 | AMF Räntefond Kort | 0,13 % | |
| SE0000739187 | AMF Räntefond Lång | 0,13 % | |
| SE0004324424 | AMF Räntefond Mix | 0,12 % | |
| SE0018067860 | AMF Strategifond Global | 0,63 % | |
| LU0557854147 | Amundi Fds Asia Eq Focus A EUR C | 1,68 % | |
| LU1882445643 | Amundi Fds China Equity A USD C | 1,86 % | |
| LU1882459784 | Amundi Fds EM Lcl Ccy Bd A USD C | 1,20 % | |
| LU0347592197 | Amundi Fds Emerging Wld Eq A USD C | 1,83 % | |
| LU0568583008 | Amundi Fds Equity Jpn Trgt A JPY C | 2,02 % | |
| LU0568613946 | Amundi Fds Equity MENA A USD C | 2,11 % | |
| LU0568607203 | Amundi Fds Eurlnd Eq Sm Cap Sel A EUR C | 1,50 % | |
| LU0616241476 | Amundi Fds Euro Aggt Bd A EUR C | 1,15 % | |
| LU0119110723 | Amundi Fds Euro HY Bd A EUR C | 1,27 % | |
| LU1883303635 | Amundi Fds Euroland Equity A EUR C | 1,77 % | |
| LU1883868819 | Amundi Fds Europe Equity Climate AEURC | 1,45 % | |
| LU1883314244 | Amundi Fds European Eq Val A EUR C | 1,39 % | |
| LU0319688015 | Amundi Fds Glbl Aggt Bd A USD C | 1,21 % | |
| LU0119133188 | Amundi Fds Global Bond A USD C | 1,36 % | |
| LU1883342617 | Amundi Fds Global Equity A USD C | 1,98 % | |
| LU0201575346 | Amundi Fds Latin Amer Eq A USD C | 1,63 % | |
| LU0236501697 | Amundi Fds SBI FM India Eq A USD C | 1,66 % | |
| LU1880401523 | Amundi Fds US Bond A USD C | 0,87 % | |
| LU1894683181 | Amundi Fds US Equity Rsrch Val A USD ADD | 1,81 % | |
| LU1894683009 | Amundi Fds US Equity Rsrch Val A USD C | 1,81 % | |
| LU2146567289 | Amundi Fds US Equity Select A USD C | 1,34 % | |
| LU0272941971 | Amundi Fds Volatil Euro A EUR C | 2,28 % | |
| LU0319687124 | Amundi Fds Volatil Wld A USD C | 1,70 % | |
| LU0996179007 | Amundi S&P 500 Screened INDEX AE Acc | 0,38 % | |
| IE00BJRFW715 | Arctic Aurora LifeScience A SEK | 2,08 % | |
| IE00B3VBZH49 | Arctic Nordic Corporate Bond Class A | 0,79 % | |
| IE00BYWHD413 | Arctic Nordic Corporate Bond R SEK H | 0,68 % | |
| IE00BFXR7L26 | Arctic Nordic Equities A SEK | 1,88 % | |
| IE00B449S282 | Arctic Norwegian Equities A | 1,21 % | |
| IE00BNGMYN11 | Arctic Norwegian Value Creation A | 1,10 % | |
| IE00BJHGR243 | Arctic Return Class L SEK hdg | 0,31 % | |
| IE00BZ3C8C56 | Arctic Return Class R | 0,38 % | |
| SE0001007527 | Atlant Edge | 1,34 % | |
| SE0008015077 | Atlant Green Tech Metals | 1,23 % | |
| SE0014262788 | Atlant Högräntefond | 2,69 % | |
| SE0007870993 | Atlant Multi-Strategy | 0,69 % | |
| SE0007871488 | Atlant Opportunity | 1,16 % | |
| SE0007871694 | Atlant Protect A | 2,31 % | |
| SE0002623553 | Atlant Räntefond Stabil | 0,95 % | |
| SE0002090621 | Atlant Sharp | 1,41 % | |
| SE0019175563 | AuAg Essential Metals A | 0,81 % | |
| SE0020677946 | AuAg Gold Rush A | 0,81 % | |
| SE0014808440 | AuAg Precious Green A | 0,82 % | |
| SE0013358181 | AuAg Silver Bullet A | 0,85 % | |
| EE3600108866 | Avaron Emerging Europe D | 1,26 % | |
| LU0010020310 | Aviva Investors – UK Eq Uncons B GBPAcc | 1,24 % | |
| IE0004345025 | AXA IM US Equity QI B(US$) | 1,20 % | |
| LU1280195881 | AXA WF ACT Green Bds A Cap EUR | 0,64 % | |
| LU1557118848 | AXA WF Social A Cap USD | 1,36 % | |
| LU0658026603 | AXAIMFIIS Europe Short Dur HY F Cap EUR | 1,14 % | |
| LU0292585030 | AXAIMFIIS US Short Dur HY F Cap USD | 1,13 % | |
| LU1914342180 | AXAWF Clean Energy A Cap USD | 1,46 % | |
| LU1694771590 | AXAWF Dgtl Ecoy A Cap USD | 1,37 % | |
| LU0125741180 | AXAWF Europe Small Cap A Cap EUR | 1,77 % | |
| LU0216734045 | AXAWF Eurp Rl Est Secs A Cap EUR | 1,64 % | |
| LU0503938796 | AXAWF Evvg Trnds A Cap USD | 1,32 % | |
| LU0545090499 | AXAWF Global Conv A Cap USD H pf | 1,34 % | |
| LU0184630167 | AXAWF Global High Yield Bds A Cap USD | 1,12 % | |
| LU0266009959 | AXAWF Global Infl Bds A Cap USD H | 0,76 % | |
| LU0868490201 | AXAWF Global Small Cap Equity QI ACapUSD | 1,67 % | |
| LU0746604528 | AXAWF Global Strat Inc A Cap USD | 0,99 % | |
| LU0087656699 | AXAWF Italy Eq A Cap EUR | 1,37 % | |
| LU1529780063 | AXAWF Robotech A Cap USD | 1,28 % | |
| LU1774149998 | AXAWF Sustainable Equity QI A Cap EUR | 0,62 % | |
| LU0276014999 | AXAWF US High Yield Bonds A Cap USD | 1,00 % | |
| LU1923361478 | Bakersteel Glb Fds SICAV- Elctm A EUR | 2,94 % | |
| LU1128909394 | Bakersteel Global Precious Metals A EUR | 1,87 % | |
| LU0357130854 | Bakersteel Global Precious Metals A2 EUR | 1,99 % | |
| IE0000830236 | Barings ASEAN Frontiers A USD Inc | 1,81 % | |
| IE0000830129 | Barings Asia Growth ClassA USD Inc | 1,64 % | |
| IE0000829451 | Barings Australia A USD Inc | 1,31 % | |
| IE0000838304 | Barings Global Emerging Mkts A Inc | 1,43 % | |
| IE0030016244 | Barings Global Leaders A USD Inc | 1,49 % | |
| IE0000829238 | Barings Hong Kong China A USD Inc | 1,92 % | |
| IE0000828933 | Barings Latin America A USD Inc | 1,64 % | |
| LU0072462343 | BGF Asian Dragon A2 | 1,95 % | |
| LU0063729296 | BGF Asian Tiger Bond A2 | 1,54 % | |
| LU2041044095 | BGF Circular Economy A2 | 1,68 % | |
| LU0224105477 | BGF Continental Eurp Flex A2 | 1,53 % | |
| LU0047713382 | BGF Emerging Markets A2 | 2,08 % | |
| LU0651946864 | BGF Emerging Markets Eq Inc A2 | 1,82 % | |
| LU0093503497 | BGF ESG Multi-Asset A2 | 1,57 % | |
| LU0093502762 | BGF Euro-Markets A2 | 1,40 % | |
| LU0011846440 | BGF European A2 | 1,47 % | |
| LU0171276677 | BGF European Special Situations A2 | 1,43 % | |
| LU0154234636 | BGF European Special Situations A2 | 1,43 % | |
| LU0171281750 | BGF European Value A2 | 1,58 % | |
| LU1861217088 | BGF FinTech A2 | 2,00 % | |
| LU0072462426 | BGF Global Allocation A2 | 1,80 % | |
| LU0006061385 | BGF Global Government Bond A2 | 1,31 % | |
| LU0093504206 | BGF Global High Yield Bond A2 EUR Hedged | 1,29 % | |
| LU0011850046 | BGF Global Long-Horizon Equity A2 | 1,60 % | |
| LU0248271941 | BGF India A2 | 1,95 % | |
| LU0006061252 | BGF Japan Small & MidCap Opps A2 | 2,48 % | |
| LU0072463663 | BGF Latin American A2 | 1,71 % | |
| LU2123743341 | BGF Multi-Theme Equity A2 | 1,40 % | |
| LU1861215975 | BGF Next Generation Technology A2 | 2,19 % | |
| LU1861216940 | BGF Next Generation Technology A2 | 2,19 % | |
| LU0171289902 | BGF Sustainable Energy A2 | 1,92 % | |
| LU0124384867 | BGF Sustainable Energy A2 | 1,92 % | |
| LU0238689110 | BGF Sustainable Global Dynamic Eq A2 | 1,68 % | |
| LU0054578231 | BGF Systematic Glbl SmallCap A2 | 1,60 % | |
| LU0072461881 | BGF US Basic Value A2 | 1,53 % | |
| LU0154236417 | BGF US Flexible Equity A2 | 1,60 % | |
| LU0097036916 | BGF US Growth A2 | 1,49 % | |
| LU0006061336 | BGF US Mid-Cap Value A2 | 1,65 % | |
| LU0122376428 | BGF World Energy A2 | 2,02 % | |
| LU0106831901 | BGF World Financials A2 | 2,20 % | |
| LU0055631609 | BGF World Gold A2 | 1,93 % | |
| LU0122379950 | BGF World Healthscience A2 | 1,57 % | |
| LU0075056555 | BGF World Mining A2 | 1,76 % | |
| LU0842063009 | BGF World Real Estate Securities A2 | 1,64 % | |
| LU0056508442 | BGF World Technology A2 | 1,70 % | |
| LU0309192036 | BL-Emerging Markets B EUR | 1,11 % | |
| LU0495664178 | BL-Emerging Markets BR EUR | 1,17 % | |
| LU0093570256 | BL-Equities America B USD | 1,01 % | |
| LU0309191657 | BL-Equities Dividend B EUR | 1,00 % | |
| LU0495662982 | BL-Equities Dividend BR EUR | 1,19 % | |
| LU0093570330 | BL-Equities Europe B EUR | 1,19 % | |
| LU0578148453 | BL-Equities Japan B JPY | 1,31 % | |
| LU1305479153 | BL-European Family Businesses B EUR | 1,14 % | |
| LU0117287580 | BL-Global Equities B EUR | 1,08 % | |
| LU0211340665 | BL-Global Flexible EUR B | 1,21 % | |
| LU1133292463 | BMC Global Select R SEK | 1,06 % | |
| LU2395167690 | BMC Global Small Cap Select R SEK | 1,36 % | |
| LU0823414635 | BNP Clean Energy Solutions - C C | 1,46 % | |
| LU1165135440 | BNP Paribas Aqua C C | 1,35 % | |
| LU0823397103 | BNP Paribas Asia Ex-Jpn Eq Cl Cap | 1,58 % | |
| LU0265266980 | BNP Paribas Brazil Equity C C | 1,94 % | |
| LU0823421333 | BNP Paribas Disrpt Tech Cl USD C | 1,25 % | |
| LU0089276934 | BNP Paribas Em Bd Cl C | 0,96 % | |
| LU0823389852 | BNP Paribas Em Bd Opps Cl C | 1,05 % | |
| LU0823413587 | BNP Paribas Emerging Eq Cl C USD | 1,65 % | |
| LU0823426308 | BNP Paribas Equity China | 1,58 % | |
| LU0823404248 | BNP Paribas Equity Europe Growth | 1,22 % | |
| LU0823411706 | BNP Paribas Equity World Consumer Durab. | 1,28 % | |
| LU0823401574 | BNP Paribas Euro Equity C C | 1,23 % | |
| LU0823399810 | BNP Paribas Europe Eq C C | 1,21 % | |
| LU0212178916 | BNP Paribas Europe Small Cap Cl C | 1,60 % | |
| LU0823394779 | BNP Paribas Glbl Cnvrt Cl C | 1,31 % | |
| LU0823391676 | BNP Paribas Global Bond Opps Cl C | 1,40 % | |
| LU0347711466 | BNP PARIBAS GLOBAL ENVIRONMENT | 1,47 % | |
| LU1956132143 | BNP Paribas Global Inc Bd Cl EUR Acc | 1,00 % | |
| LU0823416762 | BNP Paribas Health Cr Innovtr Cl Cap | 1,37 % | |
| LU0823428932 | BNP Paribas India Eq Cl Cap | 1,75 % | |
| LU0012181748 | BNP Paribas Japan Eq Cl Cap | 1,48 % | |
| LU0111491469 | BNP Paribas Sust Eurp Div C C | 1,33 % | |
| LU0265293521 | BNP Paribas Turkey Equity Classic R | 1,91 % | |
| LU0012182399 | BNP PARIBAS US SHORT DURATION BOND | 0,60 % | |
| LU0823410997 | BNP Paribas US Small Cap ClassicC | 1,68 % | |
| LU1956163023 | BNPP Rspnb US Mlt-Fac Eq Cl Acc | 0,97 % | |
| LU1458427785 | BNPP Rspnb US Value Mlt-Fac Eq Cl R | 0,99 % | |
| SE0013460110 | Brobacke Global Allokering A | 4,39 % | |
| IE00B0PVD642 | Brown Advisory US Equity Growth $ A | 0,99 % | |
| IE00B0PVDG43 | Brown Advisory US SmlrComs Dollar A Acc | 0,95 % | |
| LU0765562458 | BSF Systematic US Eq Abs Ret A2 SEK H | 2,45 % | |
| LU0725887540 | BSF Systematic US Eq Abs Ret A2 USD | 2,52 % | |
| LU0835599696 | C WorldWide Asia 1A | 1,23 % | |
| LU2678174058 | C WorldWide Asia 1C | 1,23 % | |
| LU2678176343 | C Worldwide Emerging Markets 1C | 1,59 % | |
| LU2678176004 | C WorldWide Global Equities 1C | 1,02 % | |
| LU2678175618 | C WorldWide Global Equities Ethical 1C | 1,03 % | |
| LU2678175378 | C WorldWide Healthcare Select 1C | 1,11 % | |
| LU2678174728 | C WorldWide Nordic 1C | 1,16 % | |
| LU2678174488 | C WorldWide Stable Equities 1C | 1,46 % | |
| LU0424681269 | C WorldWide Sweden 1A | 0,83 % | |
| LU0424682077 | C Worldwide Sweden Small Cap 1A | 0,97 % | |
| SE0004977379 | Calgus | 2,25 % | |
| LU0170291933 | Candriam Bds Global Hi Yld C EUR Cap | 0,87 % | |
| LU0078775011 | Candriam Eqs L Australia C AUD Cap | 1,09 % | |
| LU1434527435 | Candriam Sst Eq World C € Acc | 1,15 % | |
| LU2227857070 | Candriam Sustainable Eq US C USD Acc | 1,12 % | |
| SE0015243878 | Captor Aster Global Credit A | 0,58 % | |
| SE0017832314 | Captor Aster Global Credit Short-Term A | 0,39 % | |
| SE0011337179 | Captor Dahlia Green Bond A | 0,40 % | |
| SE0012204758 | Captor Iris Bond A | 0,41 % | |
| SE0010101360 | Captor Scilla Global Equity B | 0,53 % | |
| FR0010149302 | Carmignac Emergents A EUR Acc | 3,69 % | |
| FR0010135103 | Carmignac Patrimoine A EUR Acc | 2,41 % | |
| LU0336083810 | Carmignac Pf Asia Discovery A EUR Acc | 2,33 % | |
| LU1299311164 | Carmignac Pf Investissement A EUR Acc | 2,22 % | |
| LU2809794220 | Carmignac Pf Tech Solutions A EUR Acc | 1,64 % | |
| LU2809794493 | Carmignac Pf Tech Solutions A USD Acc | 1,64 % | |
| SE0010134288 | Case All Star Småbolag A | 1,19 % | |
| SE0002949784 | Case Credit Opportunity | 1,35 % | |
| SE0003723808 | Case Företagsobligationsfond Safe Play A | 1,11 % | |
| SE0001338674 | Case Högräntefond A | 0,87 % | |
| SE0000577272 | Case Högutdelande Bolag A | 0,97 % | |
| SE0001396110 | Case Mix | 1,19 % | |
| SE0000577280 | Case Räntefond Investment Grade | 0,47 % | |
| SE0019354150 | Catella Fastighetsfond System Select A | 1,63 % | |
| SE0017616261 | Catella Fastighetsfond Systematisk A | 1,44 % | |
| LU0112589485 | CB European Quality Fund A | 1,59 % | |
| LU0354788688 | CB Save Earth Fund RC | 1,21 % | |
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| SE0011643592 | Swedbank Robur Selection 75 | 1,13 % | |
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| SE0001175720 | Swedbank Robur Transfer 60 | 0,46 % | |
| SE0001175738 | Swedbank Robur Transfer 70 | 0,47 % | |
| SE0001175746 | Swedbank Robur Transfer 80 | 0,47 % | |
| SE0004548949 | Swedbank Robur Transfer 90 | 0,49 % | |
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