Danske Invest

Horisont 65, klasse NOK

Investering % Type Valuta Land ISIN
Danske Invest Select Global Equity Solution FIN, osuuslaji EUR W 000000000000019.7619,76% Aksjer EUR Danmark DK0060518397
Danske Invest Select Global Equity Solution - Akkumulerende, klasse DKK W 000000000000019.6219,62% Funds DKK Danmark DK0060507432
Danske Invest Norske Aksjer Institusjon II C 000000000000012.9912,99% Funds NOK Norge NO0012878927
Danske Invest Select Tactical Asset Allocation Norge, klasse NOK W 000000000000010.1810,18% Funds NOK Danmark DK0061287422
Danske Invest Norsk Obligasjon Institusjon A 000000000000005.645,64% Funds NOK Norge NO0010241490
Danske Invest Norsk Kort Obligasjon, klasse NOK 000000000000005.615,61% Funds NOK Danmark DK0060517746
Danske Invest Nye Markeder - Akkumulerende, klasse DKK 000000000000004.814,81% Funds DKK Danmark DK0060042026
Danske Invest SICAV Euro Investment Grade Corporate Bond Class WA-nok h 000000000000004.244,24% Funds NOK Danmark LU1678996098
Danske Invest Global Sustainable Future - Akkumulerende, klasse DKK W 000000000000003.653,65% Funds DKK Danmark DK0060789071
Danske Invest Nye Markeder Obligasjon, klasse NOK h 000000000000003.403,40% Funds NOK Danmark DK0060517662
Danske Invest Global High Yield Obligasjon, klasse NOK h 000000000000002.562,56% Funds NOK Danmark DK0060517316
Danske Invest Index USA Restricted - Akkumulerende, klasse DKK W 000000000000001.751,75% Funds DKK Danmark DK0060608628
Danske Invest SICAV Global Inflation Linked Bond Short Duration Class WI-nok h 000000000000001.631,63% Funds NOK Danmark LU1679001781
Danske Invest Select USA Mid Cap, klasse DKK W 000000000000001.361,36% Funds DKK Danmark DK0061145398
Danske Invest SICAV Europe Class I 000000000000000.600,60% Funds EUR Danmark LU0727217134
Danske Invest SICAV Europe Small Cap Class I 000000000000000.590,59% Funds EUR Danmark LU0249699918
Danske Invest Index Europe Restricted - Akkumulerende, klasse DKK W 000000000000000.240,24% Funds DKK Danmark DK0060607570
Likvide midler 000000000000001.371,37%
Sist oppdatert 27.03.2024
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