Danske Invest

Horisont Pension 2040, klass SEK

Investering % Typ Valuta Land ISIN
Danske Invest Select Global Quant, EUR W 000000000000018.8818,88% Fonder EUR Danmark DK0060518397
Danske Invest Select Global Equity Solution, klass SEK W 000000000000018.5818,58% Fonder SEK Danmark DK0060507788
Danske Invest Select Tactical Asset Allocation Sverige, klass SEK W 000000000000010.2610,26% Fonder SEK Danmark DK0061287505
Danske Invest Index USA Restricted, klass SEK W 000000000000006.976,97% Fonder SEK Danmark DK0060610285
Danske Invest SICAV Sverige Class SI 000000000000006.646,64% Fonder SEK Danmark LU1349495116
Danske Invest SICAV Global Sustainable Future Class I-sek 000000000000006.356,35% Fonder SEK Danmark LU2282194526
Danske Invest SICAV European Corporate Sustainable Bond Class I-sek h 000000000000004.934,93% Fonder SEK Danmark LU1399305769
Danske Invest SICAV Sverige Class SA 000000000000004.804,80% Fonder SEK Danmark LU1349494812
Danske Invest SICAV Global Emerging Markets Class A 000000000000004.254,25% Fonder USD Danmark LU0085580271
Danske Invest SICAV Sverige Småbolag Class WA 000000000000004.134,13% Fonder SEK Danmark LU1857272543
Danske Invest Tillväxtmarknadsobligationer, klass SEK h 000000000000004.084,08% Fonder SEK Danmark DK0060486090
Danske Invest SICAV Sverige Ränta Class SA 000000000000003.613,61% Fonder SEK Danmark LU1349498565
Danske Invest Select USA Mid Cap, klass SEK W 000000000000001.731,73% Fonder SEK Danmark DK0061149895
Danske Invest SICAV Europe Class SA-sek 000000000000001.331,33% Fonder SEK Danmark LU1891308568
Danske Invest Tillväxtmarknadsobligationer Lokal Valuta, klass SEK 000000000000001.011,01% Fonder SEK Danmark DK0060575272
Danske Invest Index Japan Restricted, klass SEK W 000000000000000.760,76% Fonder SEK Danmark DK0060609519
Danske Invest SICAV Global Inflation Linked Bond Short Duration Class WI-sek h 000000000000000.500,50% Fonder SEK Danmark LU1679001518
Danske Invest Globala High Yield-obligationer, klass SEK W h 000000000000000.410,41% Fonder SEK Danmark DK0062262994
Likvida medel 000000000000000.760,76%
Senast uppdaterad 28.02.2025
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