EAM SK Eurový dlhopisový fond |
EUR |
0,048876 |
129 318 590,01 |
129 318 590,01 |
114 790 212,74 |
0,049365 |
0,047996 |
EAM SK Euro Plus Fond |
EUR |
0,045606 |
120 717 769,45 |
120 717 769,45 |
71 707 844,78 |
0,045834 |
0,045606 |
EAM SK Aktívne portfólio |
EUR |
0,044681 |
365 997 716,24 |
365 997 716,24 |
365 997 716,24 |
0,045351 |
0,043877 |
ERSTE BOND DANUBIA |
EUR |
130,520000 |
62 801 438,94 |
5 052 559,72 |
2 046 162,04 |
132,477800 |
130,520000 |
ERSTE STOCK EUROPE EMERGING |
EUR |
64,610000 |
36 294 094,68 |
3 019 238,24 |
3 019 238,24 |
66,871350 |
64,610000 |
ERSTE RESPONSIBLE STOCK AMERICA |
USD |
747,330000 |
279 679 241,29 |
5 624 439,22 |
5 624 439,22 |
762,276600 |
747,330000 |
EAM SK Fond budúcnosti |
EUR |
0,054188 |
138 138 258,64 |
138 138 258,64 |
138 138 258,64 |
0,055272 |
0,053213 |
ERSTE STOCK EUROPE PROPERTY |
EUR |
263,900000 |
31 452 846,73 |
8 114 580,65 |
8 114 580,65 |
269,178000 |
263,900000 |
ERSTE RESERVE DOLLAR |
USD |
152,760000 |
21 647 438,41 |
9 412 066,31 |
894 047,73 |
153,523800 |
152,760000 |
ERSTE RESERVE EURO PLUS |
EUR |
117,870000 |
240 072 197,44 |
7 560 063,93 |
21 216,60 |
118,459350 |
117,870000 |
ERSTE RESERVE CORPORATE |
EUR |
140,380000 |
197 214 404,70 |
7 619 686,02 |
9 686,22 |
141,081900 |
140,380000 |
ERSTE BOND EURO CORPORATE |
EUR |
180,440000 |
437 427 151,22 |
2 892 246,76 |
2 877 104,36 |
183,146600 |
180,440000 |
ERSTE BOND EM GOVERNMENT |
EUR |
173,080000 |
228 298 815,57 |
18 827 904,76 |
866 300,92 |
175,676200 |
173,080000 |
ERSTE BOND DOLLAR |
USD |
130,160000 |
114 688 066,09 |
725 085,70 |
725 085,70 |
132,112400 |
130,160000 |
ERSTE STOCK GLOBAL |
EUR |
173,210000 |
481 152 265,98 |
11 053 978,06 |
1 379 844,91 |
176,674200 |
173,210000 |
ERSTE RESPONSIBLE STOCK JAPAN |
EUR |
124,930000 |
27 404 880,24 |
142 545,13 |
142 545,13 |
127,428600 |
124,930000 |
ERSTE STOCK ISTANBUL |
EUR |
361,750000 |
21 611 772,91 |
1 133 037,18 |
1 133 037,18 |
368,985000 |
361,750000 |
ERSTE STOCK EM GLOBAL |
EUR |
217,830000 |
197 469 018,40 |
430 662,98 |
430 662,98 |
222,186600 |
217,830000 |
EAM SK Fond maximalizovaných výnosov |
EUR |
0,070370 |
742 344 369,33 |
742 344 369,33 |
702 253 689,87 |
0,071777 |
0,069103 |
EAM SK Svetové akcie |
EUR |
0,018032 |
102 023 782,77 |
102 023 782,77 |
102 023 782,77 |
0,018032 |
0,018032 |
EAM SK Privátny P11 |
EUR |
0,012997 |
9 478 144,56 |
9 478 144,56 |
9 478 144,56 |
0,012997 |
0,012997 |
EAM SK ESG MIX Klasik |
EUR |
0,010107 |
45 600 785,03 |
45 600 785,03 |
45 600 785,03 |
0,010208 |
0,009925 |
EAM SK ESG MIX Balans |
EUR |
0,010623 |
9 608 709,37 |
9 608 709,37 |
9 608 709,37 |
0,010782 |
0,010432 |
EAM SK ESG MIX Aktív |
EUR |
0,011091 |
24 306 493,77 |
24 306 493,77 |
24 306 493,77 |
0,011313 |
0,010891 |
ERSTE BOND USA HIGH YIELD |
EUR |
201,050000 |
84 302 673,40 |
4 100 406,61 |
4 034 124,37 |
204,065750 |
201,050000 |
ERSTE BOND USA CORPORATE |
EUR |
157,260000 |
145 350 302,10 |
1 065 611,58 |
1 065 611,58 |
159,618900 |
157,260000 |
ERSTE BOND EUROPE HIGH YIELD |
EUR |
189,900000 |
353 308 988,91 |
48 936 634,30 |
1 982 311,26 |
192,748500 |
189,900000 |
ERSTE RESERVE EURO |
EUR |
1 301,670000 |
330 026 214,12 |
7 631 691,21 |
0,00 |
1 308,178350 |
1 301,670000 |
ERSTE BOND EM GOVERNMENT LOCAL |
EUR |
139,020000 |
187 799 066,23 |
18 252 105,82 |
815 908,38 |
141,105300 |
139,020000 |
EAM SK Erste Private Banking Conservative |
EUR |
0,008895 |
5 016 333,07 |
5 016 333,07 |
5 016 333,07 |
0,008984 |
0,008895 |
ERSTE MORTAGE |
EUR |
133,380000 |
64 571 465,50 |
1 063 939,30 |
1 063 939,30 |
136,047600 |
133,380000 |
ERSTE BOND EM CORPORATE |
EUR |
187,160000 |
446 621 659,43 |
18 918 584,43 |
2 303 667,18 |
189,967400 |
187,160000 |
ERSTE BOND INFLATION LINKED |
EUR |
132,220000 |
48 661 982,94 |
1 083 179,08 |
115 560,28 |
134,203300 |
132,220000 |
ERSTE BOND EMERG MKT CORP IG |
USD |
114,870000 |
56 269 088,81 |
9 164 420,89 |
9 164 420,89 |
117,167400 |
114,870000 |
EAM SK Global Renta |
EUR |
0,009785 |
310 314 515,18 |
310 314 515,18 |
310 314 515,18 |
0,009883 |
0,009785 |
EAM SK ERSTE Realitná Renta, R02 |
EUR |
1,025029 |
130 021 368,45 |
130 021 368,45 |
103 717 842,00 |
1,035279 |
1,025029 |
EAM SK Fond zodpoved. investovania, R02 |
EUR |
0,838036 |
137 075 853,95 |
137 075 853,95 |
137 075 853,95 |
0,846416 |
0,838036 |
ERSTE RESPONSIBLE RESERVE |
EUR |
116,470000 |
372 964 184,18 |
3 494,10 |
3 494,10 |
117,052350 |
116,470000 |
ERSTE BOND DOLLAR CORPORATE (EUR) |
EUR |
178,610000 |
23 361 902,53 |
714,44 |
714,44 |
181,289150 |
178,610000 |
ERSTE BOND DOLLAR CORPORATE (USD) |
USD |
194,950000 |
23 361 902,53 |
145 015,94 |
145 015,94 |
197,874250 |
194,950000 |
ERSTE FIXED INCOME PLUS |
EUR |
97,830000 |
99 756 963,51 |
10 565,64 |
10 565,64 |
99,297450 |
97,830000 |
PRIVATE BANKING DYNAMIC |
EUR |
104,100000 |
29 078 510,30 |
459 185,10 |
459 185,10 |
105,661500 |
104,100000 |
PRIVATE BANKING DYNAMIC PLUS |
EUR |
110,850000 |
57 847 533,66 |
251 518,65 |
251 518,65 |
112,512750 |
110,850000 |
ERSTE BEST OF AMERICA |
EUR |
285,060000 |
76 907 881,20 |
944 973,90 |
944 973,90 |
290,761200 |
285,060000 |
ERSTE BEST OF EUROPE |
EUR |
205,250000 |
49 328 328,95 |
328 605,25 |
328 605,25 |
209,355000 |
205,250000 |
ERSTE GREEN INVEST |
EUR |
117,420000 |
475 157 629,81 |
5 585 199,72 |
5 585 199,72 |
119,768400 |
117,420000 |
ERSTE WWF STOCK ENVIRONMENT |
EUR |
203,030000 |
545 310 692,64 |
1 142 449,81 |
1 142 449,81 |
207,090600 |
203,030000 |
ERSTE RESPONSIBLE BOND EURO CORPORATE |
EUR |
122,360000 |
431 666 422,70 |
1 101,24 |
1 101,24 |
124,195400 |
122,360000 |
ERSTE FUTURE INVEST |
EUR |
124,370000 |
524 492 717,54 |
640 008,02 |
640 008,02 |
130,588500 |
124,370000 |
ERSTE BEST OF WORLD |
EUR |
200,100000 |
229 001 265,25 |
548 874,30 |
548 874,30 |
204,102000 |
200,100000 |
ERSTE BOND CORPORATE PLUS |
EUR |
106,190000 |
253 913 532,52 |
94 084,34 |
94 084,34 |
107,782850 |
106,190000 |
ERSTE FAIR INVEST |
EUR |
88,550000 |
77 209 946,49 |
196 935,20 |
196 935,20 |
90,321000 |
88,550000 |
ERSTE EQUITY RESEARCH |
EUR |
23,330000 |
309 028 112,13 |
347 533,43 |
347 533,43 |
24,263200 |
23,330000 |
ERSTE RESPONSIBLE STOCK EUROPE |
EUR |
193,310000 |
178 290 604,43 |
533 418,07 |
533 418,07 |
197,176200 |
193,310000 |
EAM SK Fond zodpoved. investovania, R01 |
EUR |
0,838034 |
1 836 884,16 |
1 836 884,16 |
1 836 884,16 |
0,846414 |
0,822949 |
EAM SK ERSTE Realitná Renta, R01 |
EUR |
1,040489 |
76 651 702,21 |
76 651 702,21 |
76 651 702,21 |
1,050894 |
1,021760 |
ERSTE STOCK TECHNO |
EUR |
168,510000 |
451 563 529,69 |
1 050 322,83 |
1 050 322,83 |
171,880200 |
168,510000 |
ERSTE STOCK BIOTEC |
EUR |
456,470000 |
220 849 301,86 |
11 411,75 |
11 411,75 |
465,599400 |
456,470000 |
EAM SK ESG fond dividendových akcií |
EUR |
0,009484 |
9 844 441,91 |
9 844 441,91 |
9 844 441,91 |
0,009674 |
0,009313 |
EAM SK Privátny P12 |
EUR |
0,992341 |
49 617,06 |
49 617,06 |
49 617,06 |
0,992341 |
0,992341 |
EAM SK Fond reálnych aktív |
EUR |
0,010021 |
6 672 187,17 |
6 672 187,17 |
6 672 187,17 |
0,010171 |
0,009841 |
EAM SK ESG fond dlhopisových príležitostí |
EUR |
0,010106 |
101 062,51 |
101 062,51 |
101 062,51 |
0,010106 |
0,010106 |
ERSTE BOND COMBIRENT |
EUR |
30,340000 |
371 054 032,82 |
149 983,36 |
149 983,36 |
30,795100 |
30,340000 |
Eurizon AM Slovakia - Vyvážený Rastový fond |
EUR |
0,039528 |
64 865 494,62 |
64 865 494,62 |
64 865 494,62 |
0,040832 |
0,037947 |
Eurizon AM SK - Stredoeurópske Akt Portfólio |
EUR |
0,031688 |
25 398 667,33 |
25 398 667,33 |
19 219 220,49 |
0,032163 |
0,030420 |
Eurizon AM Slovakia - Konzervatívne portfólio |
EUR |
0,037266 |
76 902 560,39 |
76 902 560,39 |
76 902 560,39 |
0,037452 |
0,035775 |
Eurizon AM Slovakia - Dynamické portfólio |
EUR |
0,047432 |
498 838 350,41 |
498 838 350,41 |
498 838 350,41 |
0,048143 |
0,045535 |
GIS European Equities Opportunity |
EUR |
209,954000 |
26 007 186,91 |
1 339 873,31 |
1 339 873,31 |
216,882482 |
209,954000 |
GIS Central and Eastern European Equities |
EUR |
257,875000 |
3 587 484,06 |
356 021,19 |
356 021,19 |
266,384875 |
257,875000 |
GIS Global Equity Allocation |
EUR |
198,444000 |
6 707 231,74 |
250 155,53 |
250 155,53 |
204,992652 |
198,444000 |
GIS Euro Corporate Bonds |
EUR |
142,369000 |
25 517 189,25 |
106 608,90 |
106 608,90 |
144,504535 |
142,369000 |
Eurizon AM Slovakia - Rezervný fond |
EUR |
0,037274 |
133 887 278,17 |
133 887 278,17 |
86 218 700,15 |
0,037274 |
0,037274 |
Eurizon AM Slovakia - Active Magnifica |
EUR |
0,039378 |
111 632 897,85 |
111 632 897,85 |
111 632 897,85 |
0,039969 |
0,037803 |
Eurizon AM Slovakia - Active Bond fund |
EUR |
0,111844 |
85 593 387,83 |
85 593 387,83 |
85 593 387,83 |
0,112403 |
0,107370 |
Eurizon Opportunitá Flessibile 15 |
EUR |
95,950000 |
228 736 996,70 |
63 071,49 |
63 071,49 |
95,950000 |
95,950000 |
Eurizon AM Slovakia - Flexibilný Konzerv. fond |
EUR |
0,096369 |
63 119 143,69 |
63 119 143,69 |
63 119 143,69 |
0,097092 |
0,095598 |
Eurizon Fund - Equity EM Smart Volatility |
EUR |
188,280000 |
440 437 616,79 |
10 997 988,34 |
10 997 988,34 |
195,811200 |
188,280000 |
Eurizon Fund - Azioni Strategia Flessibile |
EUR |
167,230000 |
4 274 908 388,64 |
75 548 093,04 |
75 548 093,04 |
167,230000 |
167,230000 |
Eurizon Fund - Equity World Smart Volatility |
EUR |
128,140000 |
916 980 213,01 |
105 846 923,20 |
105 846 923,20 |
133,265600 |
128,140000 |
Eurizon Fund - Bond High Yield |
EUR |
225,440000 |
850 782 187,50 |
8 785 940,56 |
8 785 940,56 |
229,948800 |
225,440000 |
Eurizon Manager Selection Fund - MS 10 R |
EUR |
141,300000 |
39 951 702,84 |
4 443 421,82 |
4 443 421,82 |
142,713000 |
141,300000 |
Eurizon Manager Selection Fund - MS 20 R |
EUR |
150,280000 |
989 496 141,59 |
15 481 012,00 |
15 481 012,00 |
151,782800 |
150,280000 |
Eurizon Manager Selection Fund - MS 40 R |
EUR |
165,170000 |
1 433 501 791,90 |
50 883 860,29 |
50 883 860,29 |
166,821700 |
165,170000 |
Eurizon Manager Selection Fund - MS 70 R |
EUR |
214,580000 |
989 138 703,35 |
126 670 574,42 |
126 670 574,42 |
216,725800 |
214,580000 |
Eurizon Fund - Bond Inflation Linked |
EUR |
136,920000 |
175 666 256,17 |
3 301 818,41 |
3 301 818,41 |
139,658400 |
136,920000 |
Eurizon Fund - Bond Corporate Smart ESG |
EUR |
90,140000 |
3 621 443,47 |
2 294 824,14 |
2 294 824,14 |
91,942800 |
90,140000 |
Eurizon Fund - Sustainable Global Equity |
EUR |
132,760000 |
358 598 254,39 |
40 419 335,34 |
40 419 335,34 |
136,742800 |
132,760000 |
Eurizon AM Slovakia - Akciové Portfólio |
EUR |
0,147450 |
477 925 325,48 |
477 925 325,48 |
477 925 325,48 |
0,151136 |
0,143027 |
Eurizon Fund - Equity China A |
EUR |
82,950000 |
201 255 754,08 |
16 629 259,98 |
16 629 259,98 |
85,438500 |
82,950000 |
Eurizon Fund - Bond Emerging Markets |
EUR |
81,500000 |
2 976 639,83 |
2 938 894,65 |
2 938 894,65 |
82,722500 |
81,500000 |
Eurizon Fund - Equity USA |
EUR |
224,330000 |
1 383 794 858,71 |
59 669 156,24 |
59 669 156,24 |
231,059900 |
224,330000 |
Epsilon Fund - Euro Bond |
EUR |
153,080000 |
1 287 352 508,61 |
4 189 599,07 |
4 189 599,07 |
155,376200 |
153,080000 |
Eurizon AM Slovakia - MIX 15 |
EUR |
0,094472 |
15 033 163,75 |
15 033 163,75 |
15 033 163,75 |
0,095889 |
0,091638 |
Eurizon Fund Equity Innovation R |
EUR |
140,410000 |
1 570 473 049,65 |
117 052 524,94 |
117 052 524,94 |
144,622300 |
140,410000 |
Eurizon Fund Equity People |
EUR |
113,740000 |
712 412 487,14 |
26 143 463,27 |
26 143 463,27 |
117,152200 |
113,740000 |
Eurizon Fund Equity Planet |
EUR |
120,190000 |
1 237 343 424,09 |
44 239 980,74 |
44 239 980,74 |
123,795700 |
120,190000 |
Eurizon AM Slovakia - MIX 30 |
EUR |
0,092082 |
42 432 578,66 |
42 432 578,66 |
42 432 578,66 |
0,093463 |
0,089320 |
Eurizon AM Slovakia - ESG Zodpovedné Portfólio |
EUR |
0,090987 |
17 861 766,85 |
17 861 766,85 |
17 861 766,85 |
0,092352 |
0,088257 |
EURIZON BOND AGGREGATE RMB "R" (EUR) ACC |
EUR |
120,560000 |
164 796 865,82 |
180 237,20 |
180 237,20 |
122,368400 |
120,560000 |
EURIZON EF BOND EMERGING MARKETS "D" (EUR) INC |
EUR |
220,290000 |
137 134,89 |
11 014,50 |
11 014,50 |
223,594350 |
220,290000 |
EURIZON EF BOND EMERGING MARKETS "D" (USD) INC |
USD |
240,490000 |
2 244 333,38 |
545 736,63 |
545 736,63 |
244,097350 |
240,490000 |
EURIZON EF BOND EM "R2" (USD) ACC |
USD |
376,200000 |
216 134,24 |
67 923,56 |
67 923,56 |
381,843000 |
376,200000 |
EURIZON EF BOND EMERGING MARKETS "R" ACC |
EUR |
341,650000 |
349 878 391,52 |
1 364 208,45 |
1 364 208,45 |
346,774750 |
341,650000 |
EURIZON EF BOND HIGH YIELD "D" (EUR) INC |
EUR |
133,170000 |
53 992 231,18 |
9 904 687,88 |
9 904 687,88 |
135,167550 |
133,170000 |
EURIZON EF BOND HIGH YIELD "D" (USD) INC |
USD |
145,690000 |
573 735,06 |
305 507,03 |
305 507,03 |
147,875350 |
145,690000 |
EURIZON EF TOP EUROPEAN RESEARCH "R" (EUR) ACC |
EUR |
132,290000 |
587 030 382,34 |
1 983 790,41 |
1 983 790,41 |
136,258700 |
132,290000 |
EURIZON EQUITY CHINA SMART VOL "R2" (USD) ACC |
USD |
108,200000 |
2 700 351,77 |
432 480,69 |
432 480,69 |
111,446000 |
108,200000 |
EURIZON EQUITY CHINA SMART VOL "R" (EUR) ACC |
EUR |
98,610000 |
100 055 152,54 |
971 813,38 |
971 813,38 |
101,568300 |
98,610000 |
EURIZON EQUITY EM NEW FRONTIERS "R" (EUR) ACC |
EUR |
111,970000 |
30 979 846,89 |
745 272,32 |
745 272,32 |
115,329100 |
111,970000 |
EURIZON EQ SMALL MID CAP EUROPE "R" (EUR) ACC |
EUR |
690,160000 |
44 605 689,21 |
3 609 053,69 |
3 609 053,69 |
710,864800 |
690,160000 |
EURIZON EQUITY WORLD SMART VOL "R" (USD) ACC |
USD |
140,210000 |
2 542 912,18 |
1 127 501,20 |
1 127 501,20 |
144,416300 |
140,210000 |
EURIZON FUND BOND USD ST LTE "R" (USD) ACC |
EUR |
119,610000 |
30 584 324,94 |
55 618,65 |
55 618,65 |
121,404150 |
119,610000 |
EURIZON FUND - CONS ALLOCATION "RD" (EUR) INC |
EUR |
98,290000 |
2 492 350,46 |
101 238,70 |
101 238,70 |
100,747250 |
98,290000 |
EURIZON FUND GLOBAL BOND "R" (EUR) ACC |
EUR |
96,490000 |
19 567 605,68 |
192 208,08 |
192 208,08 |
98,902250 |
96,490000 |
EURIZON FUND - SLJ LOCAL EM DEBT "R" (EUR) ACC |
EUR |
101,540000 |
10 908 637,76 |
389 507,44 |
389 507,44 |
103,063100 |
101,540000 |
EURIZON FUND SUST JAPAN EQUITY "R" (EUR) ACC |
EUR |
120,810000 |
462 162 018,88 |
60 183,92 |
60 183,92 |
120,846243 |
120,810000 |
EURIZON FUND ABSOLUTE GREEN BONDS "R" (EUR) ACC |
EUR |
87,220000 |
512 989 563,91 |
171 566,97 |
171 566,97 |
89,400500 |
87,220000 |
EURIZON FUND EQUITY CIRCULAR ECON "R" (EUR) ACC |
EUR |
101,540000 |
618 614 072,84 |
11 778,64 |
11 778,64 |
104,586200 |
101,540000 |
Eurizon AM Slovakia - Svetové Portfólio |
EUR |
0,101338 |
7 973 607,02 |
7 973 607,02 |
7 973 607,02 |
0,103871 |
0,098298 |
I-AM GreenStars Absolute Return |
EUR |
11,790000 |
21 437 563,56 |
39 109,25 |
39 109,25 |
12,328803 |
11,790000 |
C-QUADRAT ARTS Total Return Global AMI |
EUR |
122,610000 |
466 523 035,00 |
73 425 848,57 |
73 425 848,57 |
128,740500 |
122,610000 |
C-QUADRAT ARTS TR Value Invest Protect |
EUR |
126,310000 |
81 072 176,19 |
16 172 836,23 |
16 172 836,23 |
132,625500 |
126,310000 |
I-AM GreenStars Absolute Return (R) T |
EUR |
11,360000 |
21 437 563,56 |
73 292,89 |
73 292,89 |
11,700800 |
11,360000 |
I-AM GreenStars Absolute Return (R) A |
EUR |
6,550000 |
21 437 563,56 |
0,00 |
0,00 |
6,746500 |
6,550000 |
I-AM GreenStars Absolute Return (I) T |
EUR |
9,710000 |
21 437 563,56 |
0,00 |
0,00 |
10,001300 |
9,710000 |
I-AM GreenStars Opportunities (R) VTA |
EUR |
154,180000 |
206 544 106,10 |
2 110,42 |
2 110,42 |
161,889000 |
154,180000 |
I-AM GreenStars Opportunities (I) VTA |
EUR |
145,140000 |
206 544 106,10 |
0,00 |
0,00 |
152,397000 |
145,140000 |
C-QUADRAT ARTS Total Return ESG T |
EUR |
156,770000 |
25 016 918,77 |
17 092,63 |
17 092,63 |
164,608500 |
156,770000 |
IAD - 1. PF Slnko (dlhopisový) |
EUR |
0,040084 |
14 326 902,78 |
14 326 495,79 |
14 326 495,79 |
0,040882 |
0,040084 |
IAD - EURO Bond |
EUR |
0,039994 |
21 262 931,69 |
21 262 876,77 |
21 262 876,77 |
0,040754 |
0,039994 |
IAD - Global Index |
EUR |
0,048023 |
128 189 874,30 |
128 058 251,00 |
128 058 251,00 |
0,049896 |
0,048023 |
IAD - CE Bond |
EUR |
0,035161 |
8 674 345,73 |
8 601 865,70 |
8 601 865,70 |
0,035337 |
0,035161 |
IAD - KD RUSSIA |
EUR |
0,000000 |
0,00 |
0,00 |
0,00 |
0,000000 |
0,000000 |
IAD - Optimal Balanced |
EUR |
0,022074 |
8 128 966,20 |
8 121 024,56 |
8 121 024,56 |
0,022582 |
0,022074 |
IAD - Prvý realitný fond |
EUR |
0,085732 |
442 700 209,70 |
433 699 423,60 |
428 792 694,30 |
0,088304 |
0,085732 |
IAD - Growth Opportunities |
EUR |
0,039115 |
23 389 765,01 |
23 389 729,85 |
23 389 729,85 |
0,040288 |
0,039115 |
IAD - Český konzervativní |
EUR |
0,049601 |
7 474 437,16 |
7 374 086,23 |
7 374 086,23 |
0,049601 |
0,049601 |
IAD - Protected Equity 1 |
EUR |
0,040837 |
1 974 220,79 |
1 974 244,43 |
1 974 244,43 |
0,042062 |
0,040020 |
IAD - Zaistený - IAD depozitné konto |
EUR |
0,040131 |
31 962 209,59 |
31 961 303,55 |
31 961 303,55 |
0,040131 |
0,040131 |
IAD - Protected Equity 2 |
EUR |
0,039499 |
1 945 690,45 |
1 945 681,20 |
1 945 681,20 |
0,040684 |
0,038709 |
IAD - Energy Fund |
EUR |
1,866729 |
9 985 294,58 |
9 970 225,72 |
3 105 238,35 |
1,866729 |
1,866729 |
IAD - Korunový realitný fond |
CZK |
1,394279 |
91 698 227,66 |
27 333 191,76 |
27 333 191,76 |
1,436107 |
1,394279 |
IAD - Privátny investičný fond, o.p.f. |
EUR |
1,069644 |
8 484 763,60 |
8 438 288,88 |
8 438 288,88 |
1,069644 |
1,069644 |
TAM - Americký akciový |
EUR |
0,068801 |
136 095 021,82 |
136 095 021,82 |
136 095 021,82 |
0,068801 |
0,066737 |
TAM - Dlhopisový fond |
EUR |
0,073214 |
206 485 679,68 |
206 485 679,68 |
153 780 520,00 |
0,073214 |
0,071018 |
TAM - Private Growth 1 |
EUR |
0,041465 |
156 821 573,43 |
156 821 573,43 |
156 821 573,43 |
0,041465 |
0,040221 |
TAM - Private Growth 2 |
EUR |
0,045560 |
49 727 104,31 |
49 727 104,31 |
47 893 617,74 |
0,045560 |
0,044193 |
TAM - Premium Harmonic |
EUR |
0,035981 |
118 631 989,10 |
118 631 989,10 |
118 631 989,10 |
0,035981 |
0,034902 |
TAM - Premium Strategic |
EUR |
0,037791 |
56 100 848,96 |
56 100 848,96 |
56 100 848,96 |
0,037791 |
0,036657 |
TAM - Realitný Fond |
EUR |
0,034748 |
288 462 516,89 |
288 462 516,89 |
288 462 516,89 |
0,034748 |
0,033706 |
TAM - Private Growth |
EUR |
0,036227 |
116 360 696,10 |
116 360 696,10 |
116 360 696,10 |
0,036227 |
0,035140 |
TAM - SmartFund |
EUR |
0,102178 |
126 541 304,45 |
126 541 304,45 |
126 541 304,45 |
0,102178 |
0,099113 |
TAM - Raiffeisen Emerging Markets Bonds |
EUR |
0,065174 |
10 446 006,27 |
10 446 006,27 |
10 446 006,27 |
0,065500 |
0,064848 |
TAM - Dynamický dlhopisový fond |
EUR |
0,086511 |
140 112 958,79 |
140 112 958,79 |
75 929 776,74 |
0,086511 |
0,083916 |
TAM - Balanced Fund |
EUR |
0,105744 |
168 876 018,92 |
168 876 018,92 |
168 876 018,92 |
0,105744 |
0,102572 |
TAM - Dynamic Balanced Fund |
EUR |
0,108806 |
57 991 936,28 |
57 991 936,28 |
57 991 936,28 |
0,108806 |
0,105542 |
TAM - Q Fund |
EUR |
0,087022 |
168 226 390,55 |
168 226 390,55 |
104 164 298,61 |
0,087022 |
0,084411 |
TAM - Fond pre modrú planétu konzervatívny |
EUR |
0,096837 |
73 434 077,93 |
73 434 077,93 |
73 434 077,93 |
0,096837 |
0,093932 |
TAM - Fond pre modrú planétu vyvážený |
EUR |
0,103672 |
54 000 781,06 |
54 000 781,06 |
54 000 781,06 |
0,103672 |
0,100562 |
TAM - Fond pre modrú planétu dynamický |
EUR |
0,108646 |
21 355 690,68 |
21 355 690,68 |
21 355 690,68 |
0,108646 |
0,105387 |
TAM - Globálny akciový fond |
EUR |
0,120279 |
108 562 406,50 |
108 562 406,50 |
108 562 406,50 |
0,120279 |
0,116671 |
TAM - MA Fund |
EUR |
0,097108 |
179 493 882,11 |
179 493 882,11 |
117 486 327,61 |
0,097108 |
0,094195 |
TAM - Realitný fond II. |
EUR |
0,119473 |
120 867 595,44 |
120 867 595,44 |
37 585 966,98 |
0,119473 |
0,119473 |
TAM - Konzervatívny PLUS fond |
EUR |
0,097403 |
63 937 777,18 |
63 937 777,18 |
63 937 777,18 |
0,097403 |
0,094481 |
TAM - Wealth Growth Conservative Model Fund |
EUR |
0,093441 |
6 218 060,64 |
6 218 060,64 |
6 218 060,64 |
0,094375 |
0,092507 |
TAM - Wealth Growth Balanced Model Fund |
EUR |
0,096945 |
22 014 142,39 |
22 014 142,39 |
22 014 142,39 |
0,097914 |
0,095976 |
TAM - Wealth Growth Dynamic Model Fund |
EUR |
0,098556 |
4 918 323,03 |
4 918 323,03 |
4 918 323,03 |
0,099542 |
0,097570 |
TAM - AP Realitný fond |
EUR |
62 172,992486 |
53 157 908,58 |
53 157 908,58 |
53 157 908,58 |
62 172,992486 |
62 172,992486 |
TAM - Zaistený fond 2026 |
EUR |
0,102467 |
29 335 379,50 |
29 335 379,50 |
29 335 379,50 |
0,102467 |
0,101442 |
TAM - Premium Dynamic |
EUR |
0,098410 |
1 879 319,19 |
1 879 319,19 |
1 879 319,19 |
0,098410 |
0,095458 |
TAM - Global Megatrends fond |
EUR |
0,099052 |
936 517,52 |
936 517,52 |
936 517,52 |
0,099052 |
0,096080 |
KBC Equity Fund North America |
USD |
4 169,510000 |
69 997 651,00 |
3 313 044,00 |
3 313 044,00 |
4 294,595300 |
4 169,510000 |
KBC Equity Fund Europe |
EUR |
2 013,080000 |
19 596 987,00 |
3 121 903,00 |
3 121 903,00 |
2 073,472400 |
2 013,080000 |
KBC Equity Fund We Shape Responsible Investing |
EUR |
758,830000 |
104 629 082,00 |
15 965 640,00 |
15 965 640,00 |
781,594900 |
758,830000 |
KBC Equity Fund Medical Technologies |
USD |
5 549,180000 |
214 089 656,00 |
4 041 011,00 |
4 041 011,00 |
5 715,655400 |
5 549,180000 |
KBC Equity Fund We Care Responsible Investing |
EUR |
2 416,910000 |
255 201 334,00 |
45 171 951,00 |
45 171 951,00 |
2 489,417300 |
2 416,910000 |
KBC Equity Fund We Digitize Resp Investing |
USD |
707,690000 |
225 171 932,00 |
6 513 098,00 |
6 513 098,00 |
728,920700 |
707,690000 |
KBC Equity Fund US Small Caps |
USD |
2 286,860000 |
36 994 298,00 |
1 089 813,00 |
1 089 813,00 |
2 355,465800 |
2 286,860000 |
KBC Equity Fund World |
EUR |
625,930000 |
149 813 659,00 |
26 367 629,00 |
26 367 629,00 |
644,707900 |
625,930000 |
KBC Renta Dollarenta |
USD |
1 069,160000 |
41 293 786,00 |
2 173 397,00 |
2 173 397,00 |
1 079,851600 |
1 069,160000 |
KBC Renta Eurorenta Responsible Investing |
EUR |
2 663,540000 |
52 543 703,00 |
8 197 065,00 |
8 197 065,00 |
2 690,175400 |
2 663,540000 |
KBC Multi Interest Cash USD |
USD |
6 052,417000 |
277 091 768,00 |
28 262 987,00 |
28 262 987,00 |
6 058,469417 |
6 052,417000 |
KBC Multi Interest CSOB Kratkodoby |
CZK |
139,265000 |
588 531 455,00 |
4 707 087,00 |
4 707 087,00 |
139,404265 |
139,265000 |
KBC Renta Czechrenta Responsible Investing |
CZK |
37 529,620000 |
3 524 825 836,00 |
616 155,00 |
616 155,00 |
37 904,916200 |
37 529,620000 |
KBC Equity Fund Belgium |
EUR |
160,650000 |
73 478 554,00 |
1 644 713,00 |
1 644 713,00 |
165,469500 |
160,650000 |
KBC Equity Fund Flanders |
EUR |
3 746,160000 |
37 487 532,00 |
2 916 626,00 |
2 916 626,00 |
3 858,544800 |
3 746,160000 |
KBC Renta Canarenta |
CAD |
2 411,340000 |
11 428 011,00 |
188 310,00 |
188 310,00 |
2 435,453400 |
2 411,340000 |
KBC Equity Fund We Live Responsible Investing |
EUR |
2 439,880000 |
55 232 654,00 |
6 407 061,00 |
6 407 061,00 |
2 513,076400 |
2 439,880000 |
KBC Equity Fund Asia Pacific |
JPY |
87 262,000000 |
1 381 529 169,00 |
211 959,00 |
211 959,00 |
89 879,860000 |
87 262,000000 |
KBC Equity Fund New Asia |
EUR |
861,830000 |
118 674 610,00 |
15 268 731,00 |
15 268 731,00 |
887,684900 |
861,830000 |
KBC Equity Fund Eurozone |
EUR |
668,820000 |
14 556 448,00 |
1 847 745,00 |
1 847 745,00 |
688,884600 |
668,820000 |
KBC Equity Fund USA and Canada |
EUR |
1 244,320000 |
6 422 730,00 |
1 477 702,00 |
1 477 702,00 |
1 281,649600 |
1 244,320000 |
KBC Equity Fund Emerging Markets |
EUR |
1 852,990000 |
42 940 244,00 |
6 632 057,00 |
6 632 057,00 |
1 908,579700 |
1 852,990000 |
KBC Equity Fund Trends |
EUR |
202,670000 |
251 266 390,00 |
11 478 517,00 |
11 478 517,00 |
208,750100 |
202,670000 |
KBC Equity Fund New Shares |
EUR |
1 578,080000 |
14 053 377,00 |
2 688 043,00 |
2 688 043,00 |
1 625,422400 |
1 578,080000 |
ČSOB Privátny o.p.f. |
EUR |
0,039038 |
39 967 310,00 |
39 967 310,00 |
33 298 759,00 |
0,039038 |
0,039038 |
ČSOB Rastový o.p.f. |
EUR |
0,049188 |
84 386 985,00 |
84 386 915,00 |
84 386 915,00 |
0,049926 |
0,049188 |
ČSOB Vyvážený o.p.f. |
EUR |
0,042415 |
29 784 077,00 |
29 784 034,00 |
29 784 034,00 |
0,043051 |
0,042415 |
KBC Equity Fund Strategic Satellites |
EUR |
1 336,750000 |
7 765 040,00 |
9 714,00 |
9 714,00 |
1 376,852500 |
1 336,750000 |
Horizon Access India Fund |
USD |
2 049,570000 |
32 273 886,00 |
1 198 026,00 |
1 198 026,00 |
2 111,057100 |
2 049,570000 |
ČSOB Svetový akciový o.p.f. |
EUR |
0,089626 |
53 771 897,00 |
53 715 071,00 |
53 715 071,00 |
0,092315 |
0,089626 |
KBC Bonds Corporates Euro |
EUR |
828,800000 |
23 839 760,00 |
724 824,00 |
724 824,00 |
837,088000 |
828,800000 |
KBC Bonds Emerging Europe |
EUR |
645,970000 |
4 629 978,00 |
1 751 332,00 |
1 751 332,00 |
652,429700 |
645,970000 |
KBC Bonds Emerging Markets |
USD |
2 288,590000 |
21 073 673,00 |
1 319 941,00 |
1 319 941,00 |
2 311,475900 |
2 265,704100 |
KBC Bonds High Interest |
EUR |
1 815,150000 |
28 078 659,00 |
1 352 066,00 |
1 352 066,00 |
1 833,301500 |
1 815,150000 |
Horizon USD Low |
USD |
120,180000 |
44 100 863,00 |
1 418 857,00 |
1 418 857,00 |
121,982700 |
120,180000 |
Horizon Access Fund China |
USD |
988,660000 |
25 177 535,00 |
1 852 324,00 |
1 852 324,00 |
1 018,319800 |
988,660000 |
Horizon Flexible Plan |
EUR |
55,080000 |
80 865 628,00 |
19 106 295,00 |
19 106 295,00 |
55,906200 |
55,080000 |
Horizon KBC Dynamic Balanced |
EUR |
1 021,500000 |
1 181 286 480,00 |
6 284 060,00 |
6 284 060,00 |
1 036,822500 |
1 021,500000 |
Horizon KBC Defensive Balanced |
EUR |
945,910000 |
1 371 748 740,00 |
1 801 693,00 |
1 801 693,00 |
960,098650 |
945,910000 |
Perspective World Selection 100 Abs Perf USD 2 |
USD |
964,380000 |
25 206 087,00 |
527 423,00 |
527 423,00 |
993,311400 |
954,736200 |
Perspective World Selection 100 Abs Perf USD 3 |
USD |
958,640000 |
25 323 445,00 |
338 984,00 |
338 984,00 |
987,399200 |
949,053600 |
Optimum Fund CSOB Airbag Jumper EUR 12 |
EUR |
10,170000 |
6 724 457,00 |
6 710 461,00 |
6 710 461,00 |
10,475100 |
10,068300 |
Optimum Fund CSOB Airbag Jumper EUR 13 |
EUR |
11,380000 |
3 715 846,00 |
3 086 939,00 |
3 086 939,00 |
11,721400 |
11,266200 |
Horizon 2030 |
EUR |
105,670000 |
33 471 010,00 |
594 894,00 |
594 894,00 |
107,255050 |
105,670000 |
Horizon 2035 |
EUR |
107,660000 |
16 356 181,00 |
1 550 383,00 |
1 550 383,00 |
109,274900 |
107,660000 |
Global Partners CSOB Svet s bonusem napoju 1 |
CZK |
9,610000 |
290 419 917,00 |
1 581 553,00 |
1 581 553,00 |
9,898300 |
9,513900 |
Horizon CSOB Globalny Rast 2 |
EUR |
9,380000 |
3 139 281,00 |
2 849 944,00 |
2 849 944,00 |
9,661400 |
9,286200 |
Horizon CSOB Europsky Rast 1 |
EUR |
10,650000 |
2 865 638,00 |
2 865 478,00 |
2 865 478,00 |
10,969500 |
10,543500 |
Global Partners CSOB Fixovany Click USD 7 |
USD |
10,480000 |
7 604 901,00 |
2 622 563,00 |
2 622 563,00 |
10,794400 |
10,375200 |
Horizon CSOB Financie 1 |
EUR |
10,800000 |
5 002 798,00 |
5 002 798,00 |
5 002 798,00 |
11,124000 |
10,692000 |
Global Partners CSOB Fixovaný Click USD 8 |
USD |
10,180000 |
4 976 508,00 |
2 001 485,00 |
2 001 485,00 |
10,485400 |
10,078200 |
Optimum Fund CSOB Airbag Jumper EUR 15 |
EUR |
8,940000 |
4 670 124,00 |
3 318 510,00 |
3 318 510,00 |
9,208200 |
8,850600 |
Perspective North America 100 Timing USD 5 |
USD |
1 100,260000 |
22 522 751,00 |
614 839,00 |
614 839,00 |
1 133,267800 |
1 089,257400 |
Horizon CSOB Investicna Prilezitost |
EUR |
9,530000 |
11 429 455,00 |
11 372 873,00 |
11 372 873,00 |
9,625300 |
9,434700 |
Global Partners CSOB Globalniho rustu 1 |
CZK |
9,150000 |
266 456 588,00 |
1 815 777,00 |
1 815 777,00 |
9,424500 |
9,058500 |
Perspective North America 100 Timing USD 6 |
USD |
1 097,110000 |
26 882 409,00 |
550 766,00 |
550 766,00 |
1 130,023300 |
1 086,138900 |
Sivek Global Low Div |
EUR |
146,680000 |
60 373 003,00 |
18 446 661,00 |
18 446 661,00 |
148,880200 |
146,680000 |
Perspective Global Timing USD 3 |
USD |
995,380000 |
44 345 959,00 |
1 025 836,00 |
1 025 836,00 |
1 025,241400 |
985,426200 |
Perspective Global Timing USD 4 |
USD |
984,550000 |
33 121 229,00 |
216 464,00 |
216 464,00 |
1 014,086500 |
974,704500 |
KBC Eco Fund Water Responsible Investing |
EUR |
2 032,100000 |
1 022 521 616,00 |
59 716 151,00 |
59 716 151,00 |
2 093,063000 |
2 032,100000 |
ČSOB Fér Rastový Responsible Investing o.p.f. |
EUR |
0,045073 |
28 799 294,00 |
28 799 161,00 |
28 799 161,00 |
0,045749 |
0,045073 |
ČSOB Fér Vyvážený Responsible Investing o.p.f. |
EUR |
0,043984 |
6 943 756,00 |
6 943 756,00 |
6 943 756,00 |
0,044644 |
0,043984 |
KBC Eco Fund Climate Change Resp Investing |
EUR |
677,970000 |
74 152 809,00 |
6 317 781,00 |
6 317 781,00 |
698,309100 |
677,970000 |
KBC Eco Fund Alternative Energy Resp Investing |
EUR |
500,730000 |
142 950 137,00 |
1 664 272,00 |
1 664 272,00 |
515,751900 |
500,730000 |
KBC Eco Fund Impact Investing Resp Investing |
EUR |
696,530000 |
174 974 195,00 |
410 283,00 |
410 283,00 |
717,425900 |
696,530000 |
Horizon Start 100 |
EUR |
10,320000 |
18 329 104,00 |
18 320 663,00 |
18 320 663,00 |
10,629600 |
10,216800 |
KBC Equity Fund We Like Responsible Investing |
EUR |
149,890000 |
57 576 867,00 |
6 240 955,00 |
6 240 955,00 |
154,386700 |
149,890000 |
KBC Equity Fund EM Responsible Investing |
EUR |
428,570000 |
44 191 470,00 |
1 915 201,00 |
1 915 201,00 |
441,427100 |
428,570000 |
KBC Equity Fund Global Value RI - CS CAP |
EUR |
95,480000 |
236 075 601,00 |
8 258 717,00 |
8 258 717,00 |
98,344400 |
95,480000 |
KBC Equity Fund Global Value RI - CS USD CAP |
USD |
98,470000 |
163 078 915,00 |
1 762 603,00 |
1 762 603,00 |
101,424100 |
98,470000 |
KBC Equity Fund We Digitize Respons Invest EUR |
EUR |
123,620000 |
97 026 427,00 |
36 477 895,00 |
36 477 895,00 |
127,328600 |
123,620000 |
Horizon Start 100 Plus |
EUR |
10,030000 |
38 376 501,00 |
27 689 550,00 |
27 689 550,00 |
10,130300 |
9,929700 |
Perspective CSOB Svet Smart Start 1 |
EUR |
10,000000 |
8 191 200,00 |
8 191 200,00 |
8 191 200,00 |
10,200000 |
9,900000 |
Plato Institutional Index Fund Pacific Equity |
JPY |
32 632,000000 |
945 828 449,00 |
10 174,00 |
10 174,00 |
33 327,061600 |
32 605,894400 |
Fond stabilných výnosov o.p.f. - 365.invest |
EUR |
0,051568 |
168 045 876,00 |
168 045 876,00 |
117 617 238,00 |
0,052084 |
0,051052 |
Realitný o.p.f - 365.invest |
EUR |
0,067453 |
1 058 625 726,00 |
1 058 625 726,00 |
1 045 448 766,00 |
0,068465 |
0,066104 |
Konzervatívny flexibilný o.p.f. - 365.invest |
EUR |
1,230355 |
38 018 139,89 |
38 018 139,89 |
38 018 139,89 |
1,248810 |
1,205748 |
KLM real estate fund o.p.f. - 365.invest |
EUR |
0,013590 |
35 011 723,78 |
35 011 723,78 |
22 010 846,97 |
0,013590 |
0,013590 |
AAA wealth fund o.p.f. - 365.invest |
EUR |
0,009877 |
853 495,66 |
853 495,66 |
853 495,66 |
0,009877 |
0,009877 |
365.invest Capital FKI o.p.f. - 365.invest |
EUR |
0,010654 |
36 562 707,07 |
36 562 707,07 |
33 309 633,23 |
0,010654 |
0,010654 |
365.invest Equity FKI o.p.f. - 365.invest |
EUR |
0,010866 |
86 213 921,26 |
86 213 921,26 |
81 209 682,28 |
0,010866 |
0,010866 |
Eko o.p.f. - 365.invest |
EUR |
0,009230 |
27 026 077,23 |
27 026 077,23 |
27 026 077,23 |
0,009368 |
0,009045 |
Blockchain o.p.f. - 365.invest |
EUR |
0,007793 |
4 058 901,92 |
4 058 901,92 |
3 152 435,83 |
0,007910 |
0,007637 |
Cryptomix o.p.f. - 365.invest |
EUR |
0,007408 |
388 674,31 |
388 674,31 |
388 674,31 |
0,007408 |
0,007186 |
Amundi S.F. - EUR Commodities EUR |
EUR |
27,510000 |
36 980 775,13 |
7 113 963,20 |
7 113 963,20 |
28,885500 |
27,510000 |
Amundi S.F. - Euro Curve 7-10year |
EUR |
76,690000 |
3 664 945,20 |
616 460,60 |
616 460,60 |
80,524500 |
76,690000 |
Amundi Fund Solutions - Conservative EUR |
EUR |
7,650000 |
23 120 387,15 |
6 179 575,51 |
6 179 575,51 |
8,032500 |
7,650000 |
Amundi Fund Solutions - Balanced EUR |
EUR |
78,960000 |
80 925 069,61 |
30 012 253,67 |
30 012 253,67 |
82,908000 |
78,960000 |
Amundi Fund Solutions - Sustainable Growth |
EUR |
66,440000 |
53 958 317,89 |
9 885 122,92 |
9 885 122,92 |
69,762000 |
66,440000 |
Amundi Unicredit Premium PTF - Prudential |
EUR |
46,390000 |
3 175 762,78 |
456 877,16 |
456 877,16 |
48,709500 |
46,390000 |
Amundi Unicredit Premium PTF - Multi-Asset |
EUR |
56,720000 |
43 064 157,67 |
9 916 891,22 |
9 916 891,22 |
59,556000 |
56,720000 |
Amundi Unicredit Premium PTF - Dynamic |
EUR |
70,260000 |
26 884 464,90 |
7 120 679,07 |
7 120 679,07 |
73,773000 |
70,260000 |
Amundi Fund Solutions - Conservative USD |
USD |
8,350000 |
25 293 703,54 |
4 467,66 |
4 467,66 |
8,767500 |
8,350000 |
Amundi Fund Solutions - Balanced USD |
USD |
86,140000 |
88 532 026,15 |
81 736,73 |
81 736,73 |
90,447000 |
86,140000 |
Amundi S.F. - EUR Commodities USD Hedged |
USD |
40,370000 |
13 056 198,96 |
41 571,56 |
41 571,56 |
42,388500 |
40,370000 |
Amundi Funds - Protect 90 A2 EUR (C) |
EUR |
90,730000 |
609 699 438,51 |
3 013 025,53 |
3 013 025,53 |
94,812850 |
90,730000 |
First Eagle Amundi International Fund AHE (C) |
EUR |
177,630000 |
568 349 512,01 |
970 968,21 |
970 968,21 |
186,511500 |
177,630000 |
CPR Invest - Global Disruptive Opp EUR |
EUR |
1 582,950000 |
1 959 227 997,27 |
18 308 597,09 |
18 308 597,09 |
1 662,097500 |
1 582,950000 |
CPR Invest - Global Disruptive Opp USD |
USD |
1 628,680000 |
23 283 496,10 |
596 568,95 |
596 568,95 |
1 710,114000 |
1 628,680000 |
CPR Invest - Global Silver Age EUR |
EUR |
1 388,180000 |
118 747 656,72 |
4 105 058,15 |
4 105 058,15 |
1 457,589000 |
1 388,180000 |
CPR Invest - Global Silver Age USD |
USD |
1 277,760000 |
349 947,05 |
105 323,20 |
105 323,20 |
1 341,648000 |
1 277,760000 |
CPR Invest - Megatrends |
EUR |
130,770000 |
171 583 666,36 |
3 689 220,97 |
3 689 220,97 |
137,308500 |
130,770000 |
Amundi Funds Absolute Return Forex A EUR (C) |
EUR |
96,920000 |
3 579 024,83 |
2 341,97 |
2 341,97 |
101,281400 |
96,920000 |
Amundi Funds Absolute Return Forex A USD (C) |
USD |
47,570000 |
9 496,05 |
192,09 |
192,09 |
49,710650 |
47,570000 |
AF - Asia Equity Concentrated A EUR (C) |
EUR |
144,580000 |
28 055 959,58 |
1 664 029,77 |
1 664 029,77 |
151,086100 |
144,580000 |
AF - Asia Equity Concentrated A USD (C) |
USD |
31,040000 |
28 049 696,50 |
164 265,92 |
164 265,92 |
32,436800 |
31,040000 |
Amundi Funds - Emerging World Equity A EUR (C) |
EUR |
138,970000 |
97 975 633,30 |
49 370 863,12 |
49 370 863,12 |
145,223650 |
138,970000 |
Amundi Funds - Emerging World Equity A USD (C) |
USD |
109,920000 |
44 121 699,54 |
126 622,99 |
126 622,99 |
114,866400 |
109,920000 |
Amundi Funds - Euro Corporate Bond A2 EUR (C) |
EUR |
90,610000 |
10 836 215,22 |
2 040 144,32 |
2 040 144,32 |
94,687450 |
90,610000 |
Amundi Funds - Euro Corporate Bond A2 USD (C) |
USD |
88,620000 |
470 169,86 |
101 109,77 |
101 109,77 |
92,607900 |
88,620000 |
Amundi Funds - Japan Equity A EUR (C) |
EUR |
107,100000 |
10 519 435,05 |
4 688 824,93 |
4 688 824,93 |
111,919500 |
107,100000 |
Amundi Funds - Japan Equity A USD (C) |
USD |
54,080000 |
2 982 662,21 |
155 910,87 |
155 910,87 |
56,513600 |
54,080000 |
AF - Absolute Return Multi-Strategy A EUR (C) |
EUR |
56,130000 |
77 391 811,86 |
3 564 943,21 |
3 564 943,21 |
58,655850 |
56,130000 |
Amundi Funds - Emerging Markets Bond A EUR (C) |
EUR |
16,890000 |
62 390 767,25 |
3 142 153,14 |
3 142 153,14 |
17,650050 |
16,890000 |
Amundi Funds - Emerging Markets Bond A USD (C) |
USD |
18,450000 |
45 273 401,89 |
217 732,11 |
217 732,11 |
19,280250 |
18,450000 |
AF - Emerging Markets Bond A EUR Hgd (C) |
EUR |
47,900000 |
2 366 080,67 |
921 300,36 |
921 300,36 |
50,055500 |
47,900000 |
Amundi Funds - Euro Aggregate Bond A2 EUR (C) |
EUR |
86,590000 |
38 697 492,19 |
18 081 405,84 |
18 081 405,84 |
90,486550 |
86,590000 |
Amundi Funds - Euro Government Bond A2 EUR (C) |
EUR |
42,140000 |
37 189 756,07 |
17 744 844,99 |
17 744 844,99 |
44,036300 |
42,140000 |
Amundi Funds - Euro Government Bond A2 USD (C) |
USD |
40,660000 |
846 729,12 |
62 759,69 |
62 759,69 |
42,489700 |
40,660000 |
Amundi Funds - Euroland Equity A EUR (C) |
EUR |
10,680000 |
1 138 065 854,26 |
29 757 603,94 |
29 757 603,94 |
11,160600 |
10,680000 |
Amundi Funds - Euroland Equity A USD (C) |
USD |
11,670000 |
7 642 856,09 |
6 568,22 |
6 568,22 |
12,195150 |
11,670000 |
AF - Eur Eq Sustainable Income A2 EUR SATI (D) |
EUR |
52,510000 |
393 554 484,10 |
16 735 530,00 |
16 735 530,00 |
54,872950 |
52,510000 |
AF - Eur Eq Sustainable Income A2 EUR (C) |
EUR |
75,530000 |
74 808 363,02 |
4 890 226,71 |
4 890 226,71 |
78,928850 |
75,530000 |
Amundi Funds - European Equity Value A EUR (C) |
EUR |
145,960000 |
378 263 861,50 |
36 042 022,20 |
36 042 022,20 |
152,528200 |
145,960000 |
Amundi Funds - European Equity Value A USD (C) |
USD |
159,890000 |
6 625 555,14 |
49 427,92 |
49 427,92 |
167,085050 |
159,890000 |
AF - European Equity Small Cap A EUR (C) |
EUR |
174,260000 |
86 163 295,03 |
17 381 557,25 |
17 381 557,25 |
182,101700 |
174,260000 |
AF - European Equity Small Cap A USD (C) |
USD |
190,580000 |
8 400 887,10 |
66 204,03 |
66 204,03 |
199,156100 |
190,580000 |
Amundi Funds - Global Aggregate Bond A2 EUR (C) |
EUR |
51,840000 |
9 731 679,92 |
47 872,94 |
47 872,94 |
54,172800 |
51,840000 |
Amundi Funds - Global Aggregate Bond A2 USD (C) |
USD |
110,440000 |
18 273 430,67 |
24 547,71 |
24 547,71 |
115,409800 |
110,440000 |
Amundi Funds - Global Ecology ESG A EUR (C) |
EUR |
376,230000 |
1 153 937 262,29 |
9 658 044,57 |
9 658 044,57 |
393,160350 |
376,230000 |
Amundi Funds - Global Ecology ESG A USD (C) |
USD |
411,310000 |
34 001 896,28 |
280 543,87 |
280 543,87 |
429,818950 |
411,310000 |
AF - Global Eq Sustainable Income A2 EUR QTI (D) |
EUR |
61,670000 |
288 567 878,53 |
22 080 482,95 |
22 080 482,95 |
64,445150 |
61,670000 |
AF - Global Eq Sustainable Income A2 USD QTI (D) |
USD |
67,290000 |
40 661 743,95 |
925 477,85 |
925 477,85 |
70,318050 |
67,290000 |
AF - Global Eq Sustainable Income A2 EUR (C) |
EUR |
122,300000 |
272 987 368,55 |
9 040 290,03 |
9 040 290,03 |
127,803500 |
122,300000 |
AF - Global Eq Sustainable Income A2 USD (C) |
USD |
133,800000 |
9 276 841,06 |
511 246,29 |
511 246,29 |
139,821000 |
133,800000 |
AF - Global M-A Target Income A2 EUR Hgd (C) |
EUR |
48,780000 |
12 956 269,30 |
3 785 549,85 |
3 785 549,85 |
50,975100 |
48,780000 |
AF - Global M-A Target Income A2 EUR Hgd QTI (D) |
EUR |
32,730000 |
96 502 067,76 |
8 386 667,51 |
8 386 667,51 |
34,202850 |
32,730000 |
Amundi Funds - Optimal Yield A EUR (C) |
EUR |
100,370000 |
13 257 210,68 |
939 092,94 |
939 092,94 |
104,886650 |
100,370000 |
AF - Pioneer Flexible Opportunities A EUR (C) |
EUR |
88,600000 |
1 299 510,77 |
104 342,00 |
104 342,00 |
92,587000 |
88,600000 |
AF - Pioneer Flexi Opportunities A USD (C) |
USD |
98,530000 |
2 954 286,29 |
534,17 |
534,17 |
102,963850 |
98,530000 |
AF - Pioneer Flexi Opportunities A EUR Hgd (C) |
EUR |
60,130000 |
585 820,66 |
44 987,94 |
44 987,94 |
62,835850 |
60,130000 |
AF - Pioneer Global High Yield Bond A EUR (C) |
EUR |
116,050000 |
1 983 482,12 |
799 805,34 |
799 805,34 |
121,272250 |
116,050000 |
AF - Pioneer Global High Yield Bond A USD (C) |
USD |
126,960000 |
6 372 867,41 |
129 384,99 |
129 384,99 |
132,673200 |
126,960000 |
AF - Pioneer Strategic Income A EUR (C) |
EUR |
10,460000 |
18 707 406,08 |
1 102 936,74 |
1 102 936,74 |
10,930700 |
10,460000 |
AF - Pioneer Strategic Income A EUR Hgd (C) |
EUR |
75,480000 |
24 566 836,46 |
5 280 332,85 |
5 280 332,85 |
78,876600 |
75,480000 |
AF - Pioneer Strategic Income A USD (C) |
USD |
11,440000 |
128 657 234,64 |
1 319 315,59 |
1 319 315,59 |
11,954800 |
11,440000 |
Amundi Funds - Pioneer US Bond A2 EUR (C) |
EUR |
88,860000 |
7 623 815,88 |
77 024,11 |
77 024,11 |
92,858700 |
88,860000 |
Amundi Funds - Pioneer US Bond A2 USD (C) |
USD |
97,210000 |
166 373 166,96 |
146 819,96 |
146 819,96 |
101,584450 |
97,210000 |
AF - Pioneer US Equity Fundam Growth A EUR (C) |
EUR |
466,230000 |
323 149 753,76 |
36 214 351,84 |
36 214 351,84 |
487,210350 |
466,230000 |
AF - Pioneer US Equity Fundam Growth A USD (C) |
USD |
510,330000 |
372 306 734,10 |
857 711,57 |
857 711,57 |
533,294850 |
510,330000 |
AF - Pioneer US High Yield Bond A EUR (C) |
EUR |
13,510000 |
9 762 526,13 |
217 800,37 |
217 800,37 |
14,117950 |
13,510000 |
AF - Pioneer US High Yield Bond A EUR Hgd (C) |
EUR |
91,650000 |
879 061,94 |
127 322,65 |
127 322,65 |
95,774250 |
91,650000 |
AF - Pioneer US High Yield Bond A USD (C) |
USD |
14,780000 |
36 415 084,57 |
504 213,86 |
504 213,86 |
15,445100 |
14,780000 |
AF - Real Assets Target Income A2 EUR (C) |
EUR |
56,980000 |
27 384 038,21 |
132 533,09 |
132 533,09 |
59,544100 |
56,980000 |
AF - Real Assets Target Income A2 USD (C) |
USD |
62,350000 |
976 829,44 |
0,00 |
0,00 |
65,155750 |
62,350000 |
Amundi Funds - Top European Players A EUR (C) |
EUR |
10,360000 |
227 862 900,66 |
13 196 964,33 |
13 196 964,33 |
10,826200 |
10,360000 |
Amundi Funds - Top European Players A USD (C) |
USD |
11,340000 |
7 832 129,41 |
52 183,41 |
52 183,41 |
11,850300 |
11,340000 |
AF - Emg Europe and Mediterranean Eq A EUR (C) |
EUR |
18,070000 |
34 871 560,59 |
9 747 766,70 |
9 747 766,70 |
18,883150 |
18,070000 |
AF - Emg Europe and Mediterranean Eq A USD (C) |
USD |
19,790000 |
12 415 703,82 |
120 821,88 |
120 821,88 |
20,680550 |
19,790000 |
AF - Emg Markets Local Currency Bond A EUR (C) |
EUR |
66,810000 |
106 903 013,85 |
3 109 408,29 |
3 109 408,29 |
69,816450 |
66,810000 |
AF - Emg Markets Local Currency Bond A USD (C) |
USD |
73,340000 |
3 037 047,43 |
36 012,05 |
36 012,05 |
76,640300 |
73,340000 |
AF - Emg Markets Short Term Bond A2 EUR Hgd (C) |
EUR |
46,140000 |
5 477 090,67 |
1 748 086,11 |
1 748 086,11 |
48,216300 |
46,140000 |
AF - Euro Multi-Asset Target Income A2 EUR (C) |
EUR |
51,840000 |
2 206 710,56 |
1 748 390,78 |
1 748 390,78 |
54,172800 |
51,840000 |
AF - Euro Multi-Asset Target Inc A2 EUR QTI (D) |
EUR |
43,940000 |
1 606 656,46 |
1 606 425,66 |
1 606 425,66 |
45,917300 |
43,940000 |
Amundi Funds - Strategic Bond A EUR AD (D) |
EUR |
36,410000 |
6 356 502,91 |
1 825 843,64 |
1 825 843,64 |
38,048450 |
36,410000 |
Amundi Funds - Strategic Bond A EUR (C) |
EUR |
92,260000 |
34 807 012,89 |
17 737 123,76 |
17 737 123,76 |
96,411700 |
92,260000 |
Amundi Funds - Global Multi-Asset A EUR (C) |
EUR |
110,700000 |
40 929 036,86 |
851 489,23 |
851 489,23 |
115,681500 |
110,700000 |
Amundi Funds - Global Multi-Asset A USD (C) |
USD |
121,120000 |
2 381 692,19 |
139 104,81 |
139 104,81 |
126,570400 |
121,120000 |
Amundi Funds - China Equity A EUR (C) |
EUR |
11,700000 |
73 195 867,81 |
3 526 282,33 |
3 526 282,33 |
12,226500 |
11,700000 |
Amundi Funds - China Equity A USD (C) |
USD |
12,800000 |
62 804 031,90 |
363 755,59 |
363 755,59 |
13,376000 |
12,800000 |
Amundi Funds - Pioneer Global Equity A EUR (C) |
EUR |
157,830000 |
829 633 321,35 |
137 540 346,96 |
137 540 346,96 |
164,932350 |
157,830000 |
Amundi Funds - Pioneer Global Equity A USD (C) |
USD |
172,720000 |
58 253 959,19 |
129 979,87 |
129 979,87 |
180,492400 |
172,720000 |
AF - Pioneer US Short Term Bond A2 USD (C) |
USD |
7,350000 |
197 449 120,39 |
539 780,21 |
539 780,21 |
7,680750 |
7,350000 |
AF - Pioneer US Short Term Bond A2 EUR (C) |
EUR |
6,720000 |
6 470 941,27 |
78 253,78 |
78 253,78 |
7,022400 |
6,720000 |
AF - Pioneer US Equity Research A EUR (C) |
EUR |
17,420000 |
23 667 860,98 |
2 073 612,82 |
2 073 612,82 |
18,203900 |
17,420000 |
AF - Pioneer US Equity Research A USD (C) |
USD |
19,070000 |
48 754 712,03 |
358 715,57 |
358 715,57 |
19,928150 |
19,070000 |
AF - Pioneer US Equity Research Value A EUR (C) |
EUR |
212,780000 |
252 214 668,95 |
523 805,63 |
523 805,63 |
222,355100 |
212,780000 |
AF - Pioneer US Equity Research Value A USD (C) |
USD |
233,600000 |
76 227 622,09 |
124 686,25 |
124 686,25 |
244,112000 |
233,600000 |
Amundi Funds - Russian Equity A EUR (C) |
EUR |
0,000000 |
0,00 |
0,00 |
0,00 |
0,000000 |
0,000000 |
Amundi Funds - Russian Equity A USD (C) |
USD |
0,000000 |
0,00 |
0,00 |
0,00 |
0,000000 |
0,000000 |
Amundi Funds - US Pioneer Fund A EUR (C) |
EUR |
17,830000 |
719 045 118,72 |
61 488 868,57 |
61 488 868,57 |
18,632350 |
17,830000 |
Amundi Funds - US Pioneer Fund A USD (C) |
USD |
19,500000 |
852 734 426,83 |
701 188,52 |
701 188,52 |
20,377500 |
19,500000 |
Amundi Funds Argo Bond A EUR (C) |
EUR |
46,000000 |
93 904 086,55 |
5 134 708,92 |
5 134 708,92 |
48,070000 |
46,000000 |
Amundi Funds Argo Bond A USD (C) |
USD |
50,340000 |
255 092,43 |
38 104,88 |
38 104,88 |
52,605300 |
50,340000 |
First Eagle Amundi International Fund - AE (C) |
EUR |
215,190000 |
1 172 584 928,14 |
25 335 832,35 |
25 335 832,35 |
225,949500 |
215,190000 |
AFS - Buy and Watch Income 06/2025 A EUR ND |
EUR |
52,750000 |
2 913 123,94 |
2 243 477,81 |
2 243 477,81 |
54,068750 |
52,222500 |
AFS - Buy and Watch Income 07/2025 A EUR ND |
EUR |
51,010000 |
5 047 055,59 |
1 156 376,09 |
1 156 376,09 |
52,285250 |
50,499900 |
AFS - Buy and Watch HI Bond 11/2024 A EUR (C) |
EUR |
52,320000 |
13 343 023,24 |
3 003 955,42 |
3 003 955,42 |
53,628000 |
51,796800 |
AFS - Buy and Watch HI Bond 11/24 A EUR (AD) (D) |
EUR |
49,290000 |
1 146 090,72 |
374 103,61 |
374 103,61 |
50,522250 |
48,797100 |
AFS - Buy and Watch HI Bond 01/2025 A EUR (C) |
EUR |
52,730000 |
7 027 395,15 |
1 864 976,36 |
1 864 976,36 |
54,048250 |
52,202700 |
AFS - Buy and Watch HI Bond 01/2025 A EUR (D) |
EUR |
51,130000 |
8 632 582,57 |
0,00 |
0,00 |
52,408250 |
50,618700 |
AF - Multi-Asset Sustainable Future A EUR (C) |
EUR |
97,870000 |
208 223 227,15 |
1 774 187,07 |
1 774 187,07 |
102,274150 |
97,870000 |
CPR Invest - MedTech A EUR Acc |
EUR |
105,200000 |
205 686 362,75 |
2 968 087,85 |
2 968 087,85 |
110,460000 |
105,200000 |
AF - Polen Capital Global Growth A2 EUR (C) |
EUR |
145,770000 |
279 452 110,75 |
15 714 468,67 |
15 714 468,67 |
152,329650 |
145,770000 |
AF - Pioneer US Equity ESG Improvers - A EUR |
EUR |
61,190000 |
58 670 790,36 |
554 321,86 |
554 321,86 |
63,943550 |
61,190000 |
AF - Pioneer US Equity ESG Improvers - A EUR HGD |
EUR |
51,800000 |
2 061 899,64 |
8 065,83 |
8 065,83 |
54,131000 |
51,800000 |
AF - Pioneer US Equtiy ESG Improvers - A USD |
USD |
68,130000 |
50 372 190,14 |
283 594,43 |
283 594,43 |
71,195850 |
68,130000 |
AFS - Buy and Watch US HY opp 03/2025 - A EUR |
EUR |
48,590000 |
9 160 225,82 |
1 556 058,60 |
1 556 058,60 |
49,804750 |
47,618200 |
KBI Global Sustainable Infrastructure Fund |
EUR |
13,110000 |
201 912 553,54 |
2 269 046,78 |
2 269 046,78 |
13,765500 |
13,110000 |
CPR Invest - Climate Action |
EUR |
146,940000 |
765 254 219,23 |
1 416 844,63 |
1 416 844,63 |
154,287000 |
146,940000 |
AFS - Buy and Watch US HY opp 11/2025 - A EUR |
EUR |
46,080000 |
6 998 448,65 |
1 342 444,49 |
1 342 444,49 |
47,232000 |
45,158400 |
AF - European Equity ESG Improvers |
EUR |
66,640000 |
13 088 439,17 |
11 707 868,05 |
11 707 868,05 |
69,638800 |
66,640000 |
AF - Global Corporate ESG Improvers Bond |
EUR |
41,880000 |
83 759,84 |
0,00 |
0,00 |
43,764600 |
41,880000 |
AF - Pioneer Global HY ESG Improvers Bond |
EUR |
47,660000 |
6 434,51 |
0,00 |
0,00 |
49,804700 |
47,660000 |
AF - European Equty ESG Improvers |
USD |
47,740000 |
97 763,89 |
928,25 |
928,25 |
49,888300 |
47,740000 |
Amundi S.F. - Diversified Short-Term Bond - A EUR |
EUR |
50,710000 |
69 786 722,77 |
78 456,69 |
78 456,69 |
52,991950 |
50,710000 |
AFS - BUY&WATCH US HY OPPORTS 03/2026 - A EUR |
EUR |
48,610000 |
6 489 078,35 |
1 377 256,39 |
1 377 256,39 |
49,582200 |
47,637800 |
AFS - Buy and Watch US HY opp 11/2026 |
EUR |
51,430000 |
7 553 404,83 |
4 088 387,58 |
4 088 387,58 |
52,458600 |
50,401400 |
AFS - BUY&WATCH HIB OPPORTS 06/2028 - A EUR |
EUR |
52,220000 |
2 618 552,82 |
2 615 998,81 |
2 615 998,81 |
53,264400 |
51,175600 |
CPR Invest - B&W Europ Strat Autonomy 2028 II |
EUR |
103,120000 |
1 941 244,68 |
542 285,91 |
542 285,91 |
108,276000 |
103,120000 |
CPR Invest - B&W Europ Strat Autonomy 2028 |
EUR |
102,150000 |
97 835 375,30 |
3 145 060,40 |
3 145 060,40 |
107,257500 |
102,150000 |
AF GLOBAL EQUITY ESG IMPROVERS - A2 EUR (C) |
USD |
49,560000 |
32 207 556,23 |
10 561 441,57 |
10 561 441,57 |
51,790200 |
49,560000 |
AF GLOBAL EQUITY ESG IMPROVERS - A2 USD (C) |
EUR |
50,270000 |
575 640,55 |
14 418,32 |
14 418,32 |
52,532150 |
50,270000 |
GS US Factor Credit - P Cap USD |
USD |
1 222,970000 |
13 914 405,12 |
688,62 |
690,90 |
1 259,659100 |
1 222,970000 |
GS Europe Equity - P Cap EUR |
EUR |
84,840000 |
77 662 467,12 |
9 902,02 |
9 784,13 |
87,385200 |
84,840000 |
Goldman Sachs Central Europe Equity - P Cap EUR |
EUR |
187,130000 |
158 165 515,37 |
103 423,94 |
103 291,30 |
194,428070 |
187,130000 |
GS Global Equity Income - P Cap EUR |
EUR |
624,230000 |
55 104 892,56 |
153 895,79 |
154 013,12 |
642,956900 |
624,230000 |
GS US Enhanced Equity - P Cap USD |
USD |
220,080000 |
48 788 378,93 |
6 917,64 |
6 860,66 |
226,682400 |
220,080000 |
GS Global Envir Transition Eq - X Cap USD |
USD |
1 271,960000 |
23 605 045,07 |
7 948,01 |
7 924,11 |
1 335,558000 |
1 271,960000 |
GS Eurozone Equity Income - X Cap EUR |
EUR |
686,380000 |
41 869 453,93 |
8 164,49 |
8 071,71 |
720,699000 |
686,380000 |
GS EM Enh Index Sustainable Equity - X Cap USD |
USD |
1 776,220000 |
5 744 951,97 |
1 610,61 |
1 611,87 |
1 865,031000 |
1 776,220000 |
GS Asia Equity Income - X Cap USD |
USD |
962,860000 |
4 997 811,10 |
2 716,08 |
2 709,56 |
1 011,003000 |
962,860000 |
GS Europe Real Estate Equity - X Cap EUR |
EUR |
784,050000 |
3 944 387,77 |
33 033,59 |
33 060,14 |
823,252500 |
784,050000 |
GS Euro Bond - X Cap EUR |
EUR |
462,960000 |
6 361 662,91 |
7 407,36 |
7 419,52 |
486,108000 |
462,960000 |
GS Global Real Estate Equity - X Cap EUR |
EUR |
1 225,550000 |
1 141 686,36 |
93 332,99 |
93 086,01 |
1 286,827500 |
1 225,550000 |
GS Europe Equity Income - X Cap EUR |
EUR |
470,190000 |
7 310 767,67 |
6 434,08 |
6 355,94 |
493,699500 |
470,190000 |
GS Global Equity Impact Opp - X Cap EUR |
EUR |
466,610000 |
48 917 294,71 |
51 817,97 |
51 164,99 |
489,940500 |
466,610000 |
GS Global Bank & Insurance Equity - X Cap USD |
USD |
800,930000 |
7 957 161,41 |
8 356,32 |
8 305,52 |
840,976500 |
800,930000 |
GS Global Smart Connectivity Equity - X Cap USD |
USD |
1 822,860000 |
10 975 140,61 |
24 681,93 |
24 307,21 |
1 914,003000 |
1 822,860000 |
GS Global Food & Beverages Equity - X Cap EUR |
EUR |
2 350,760000 |
14 117 790,61 |
1 160 081,25 |
1 154 269,11 |
2 468,298000 |
2 350,760000 |
GS Global Health Care Equity - X Cap USD |
USD |
2 630,590000 |
11 351 853,61 |
41 538,81 |
40 775,05 |
2 762,119500 |
2 630,590000 |
GS Global Climate & Envir Equity - X Cap USD |
USD |
1 176,520000 |
38 242 276,14 |
8 181,87 |
8 153,47 |
1 235,346000 |
1 176,520000 |
GS US Equity Income - X Cap USD |
USD |
746,860000 |
53 027 733,56 |
63 512,47 |
60 321,20 |
784,203000 |
746,860000 |
GS Greater China Equity - X Cap USD |
USD |
935,610000 |
34 485 105,27 |
5 889,90 |
5 844,67 |
982,390500 |
935,610000 |
GS Japan Equity - X cap JPY |
JPY |
6 914,000000 |
1 822 582 883,33 |
8 950,38 |
8 930,09 |
7 259,700000 |
6 914,000000 |
GS Patrimonial Aggressive - X Cap EUR |
EUR |
945,210000 |
10 951 912,32 |
286 405,25 |
285 083,93 |
992,470500 |
945,210000 |
GS Patrimonial Europe Sust - X Cap EUR (hdg ii) |
EUR |
685,040000 |
26 488 832,57 |
7 638,88 |
7 607,77 |
719,292000 |
685,040000 |
GS Global Bank & Insurance Equity - X Cap EUR |
EUR |
1 386,590000 |
4 592 363,52 |
54 639,97 |
54 307,77 |
1 455,919500 |
1 386,590000 |
GS Commodity Enhanced - P Cap EUR (hdg i) |
EUR |
156,100000 |
1 406 954,26 |
9 566,74 |
9 596,16 |
160,783000 |
156,100000 |
GS Emerging Markets Equity Income - X Cap USD |
USD |
51,220000 |
841 155,71 |
26,50 |
26,60 |
53,781000 |
51,220000 |
GS EM Equity Income - X Cap CZK (hdg i) |
CZK |
1 163,040000 |
3 625 144,29 |
626,33 |
626,26 |
1 221,192000 |
1 163,040000 |
GS Global Equity Income - X Cap CZK (hdg i) |
CZK |
15 663,680000 |
62 170 208,14 |
82 816,95 |
82 178,26 |
16 446,864000 |
15 663,680000 |
Goldman Sachs Central Europe Equity - P Cap CZK |
CZK |
4 389,270000 |
1 100 027 059,95 |
9 204,07 |
9 192,31 |
4 608,733500 |
4 389,270000 |
GS Sustainable Yield Opportunities - X cap EUR |
EUR |
235,270000 |
419 221,43 |
58 604,58 |
58 631,98 |
235,270000 |
223,506500 |
GS Global Food & Beverages Equity - X cap USD |
USD |
2 249,870000 |
30 879 206,53 |
11 467,35 |
11 362,04 |
2 362,363500 |
2 249,870000 |
Goldman Sachs Czech Crown Bond - P Cap CZK |
CZK |
2 468,740000 |
3 143 753 022,62 |
939 900,15 |
916 215,26 |
2 592,177000 |
2 468,740000 |
GS Global Flexible Multi-Asset - P Cap EUR |
EUR |
254,280000 |
14 266 824,90 |
76 385,20 |
76 250,02 |
261,908400 |
254,280000 |
GS Global Yield Opp - X Cap CZK (hdg i) |
CZK |
4 943,370000 |
4 875 321,76 |
7 597,40 |
7 545,93 |
5 190,538500 |
4 943,370000 |
GS Global Energy Equity - X Cap CZK (hdg i) |
CZK |
6 634,130000 |
6 676 057,69 |
2 863,22 |
2 834,20 |
6 965,836500 |
6 634,130000 |
GS Glob Climate & Envir Eq - X Cap CZK (hdg i) |
CZK |
8 813,110000 |
30 122 765,49 |
1 058,61 |
1 051,04 |
9 253,765500 |
8 813,110000 |
GS Emerging Markets Equity Income - P Cap USD |
USD |
93,710000 |
9 831 356,88 |
566,03 |
568,09 |
96,521300 |
93,710000 |
GS Patrimonial Aggressive - X Cap CZK (hdg i) |
CZK |
17 701,940000 |
62 053 681,90 |
542 266,19 |
539 441,07 |
18 587,037000 |
17 701,940000 |
GS Patrimonial Aggressive - P Cap EUR |
EUR |
1 128,480000 |
318 878 986,97 |
470 922,60 |
468 958,90 |
1 162,334400 |
1 128,480000 |
GS Commodity Enhanced - X Cap CZK (hdg i) |
CZK |
279,680000 |
17 954 784,35 |
18 461,26 |
18 449,52 |
288,070400 |
279,680000 |
GS Europe RE Equity - X Cap CZK (hdg i) |
CZK |
21 629,800000 |
2 242 011,39 |
4 997,01 |
4 990,44 |
22 088,351760 |
21 629,800000 |
GS Global Sustainable Eq - X Cap CZK (hdg i) |
CZK |
29 082,400000 |
39 697 965,23 |
11 667,02 |
11 487,08 |
29 664,048000 |
29 082,400000 |
GS Global Sustainable Equity - P Cap EUR |
EUR |
580,760000 |
300 638 765,34 |
208 701,91 |
206 245,61 |
591,213680 |
580,760000 |
GS Global Food & Bev Eq - P Cap EUR (hdg ii) |
EUR |
702,310000 |
25 084 765,32 |
210,69 |
208,35 |
737,425500 |
702,310000 |
GS US Enhanced Equity - X Cap CZK (hdg i) |
CZK |
25 371,890000 |
11 738 249,30 |
1 822,96 |
1 793,11 |
26 640,484500 |
25 371,890000 |
GS Czech Crown Short Duration Bond - P Cap CZK |
CZK |
1 579,770000 |
113 273 641,49 |
658 087,29 |
656 673,74 |
1 587,668850 |
1 579,770000 |
GS Europe Sustainable Equity - P Cap EUR |
EUR |
490,870000 |
96 146 477,40 |
7 581,00 |
7 467,79 |
515,413500 |
490,870000 |
GS Patrimonial Europe Sust - X Cap CZK (hdg i) |
CZK |
10 884,580000 |
7 768 631,48 |
9 845,41 |
9 782,18 |
11 131,659966 |
10 884,580000 |
GS Patrimonial Balanced - P Cap EUR |
EUR |
1 728,070000 |
818 176 163,07 |
44 079,61 |
43 962,78 |
1 754,163857 |
1 728,070000 |
GS Global Climate & Envir Equity - X Cap EUR |
EUR |
1 767,830000 |
8 588 288,51 |
35 324,78 |
36 803,67 |
1 856,221500 |
1 767,830000 |
GS Global Smart Connectivity Equity - X Cap EUR |
EUR |
5 725,520000 |
33 066 927,62 |
245 596,18 |
242 048,18 |
6 011,796000 |
5 725,520000 |
GS Global Smart Connect Eq - X Cap CZK (hdg i) |
CZK |
7 477,990000 |
4 091 463,03 |
3 527,75 |
3 461,14 |
7 851,889500 |
7 477,990000 |
GS Global Yield Opportunities - P Cap EUR |
EUR |
248,090000 |
2 935 467,92 |
668,60 |
666,55 |
255,532700 |
248,090000 |
GS Global Health Care Equity - P Cap EUR |
EUR |
1 177,490000 |
27 876 263,60 |
95,38 |
93,61 |
1 212,814700 |
1 177,490000 |
GS Czech Crown Short Duration Bond - I Cap CZK |
CZK |
141 269,180000 |
475 453 017,84 |
1 929 459,31 |
1 912 642,82 |
144 094,563600 |
141 269,180000 |
Goldman Sachs Central Europe Equity - I Cap EUR |
EUR |
9 698,930000 |
221 991 529,86 |
184,28 |
184,00 |
9 892,908600 |
9 698,930000 |
GS Euro Short Duration Bond - P Cap EUR |
EUR |
416,060000 |
22 492 714,02 |
1 105,06 |
1 105,98 |
428,541800 |
416,060000 |
Goldman Sachs Czech Crown Bond - I Cap CZK |
CZK |
122 634,060000 |
4 737 579 286,90 |
47 826,60 |
41 430,67 |
125 086,741200 |
122 634,060000 |
GS Global Investment Grade Credit - X Cap EUR |
CZK |
717,980000 |
403 863,99 |
12 016,11 |
12 031,68 |
744,904250 |
717,980000 |
UNIQA EUR Konto |
EUR |
0,044990 |
42 705 458,00 |
42 677 042,00 |
42 677 042,00 |
0,044990 |
0,044990 |
UNIQA CEE Dluhopisový fond |
EUR |
0,050729 |
34 564 960,00 |
10 820 283,00 |
10 820 283,00 |
0,050729 |
0,049207 |
UNIQA CEE Akciový fond |
EUR |
0,047931 |
132 443 443,00 |
41 211 961,00 |
41 211 961,00 |
0,047931 |
0,045535 |
UNIQA Realitní fond |
EUR |
0,045903 |
56 014 567,00 |
22 142 965,00 |
22 142 965,00 |
0,045903 |
0,044067 |
UNIQA Selection Global Equity |
EUR |
0,087890 |
238 778 026,00 |
98 845 616,00 |
98 845 616,00 |
0,087890 |
0,083496 |
UNIQA Selection Emerging Equity |
EUR |
0,043384 |
77 093 491,00 |
30 702 668,00 |
30 702 668,00 |
0,043384 |
0,041215 |
UNIQA Selection Opportunities |
EUR |
0,048537 |
61 904 603,00 |
21 818 283,00 |
21 818 283,00 |
0,048537 |
0,046111 |
UNIQA Eurobond |
EUR |
0,029172 |
3 275 302,00 |
3 274 663,00 |
3 274 663,00 |
0,029172 |
0,028297 |
UNIQA Small Cap Portfolio |
EUR |
0,050074 |
28 897 665,00 |
13 063 986,00 |
13 063 986,00 |
0,051876 |
0,050074 |
UNIQA Future Trends |
EUR |
0,033834 |
3 357 426,00 |
311 279,00 |
311 279,00 |
0,035526 |
0,032143 |
BNP Paribas Funds Equity Brazil [Classic, C] |
USD |
89,680000 |
70 177 253,01 |
36 859,00 |
36 859,00 |
94,164000 |
89,680000 |
BNP Paribas Funds Euro Bond [Classic, C] |
EUR |
190,930000 |
94 282 703,12 |
6 163,00 |
6 163,00 |
200,476500 |
190,930000 |
BNP Paribas Funds Euro Corporate Bond [C] |
EUR |
174,830000 |
106 071 210,30 |
41 048,00 |
41 048,00 |
183,571500 |
174,830000 |
BNP Paribas Funds Euro Government Bond [C] |
EUR |
348,070000 |
95 121 269,34 |
744 921,00 |
744 921,00 |
365,473500 |
348,070000 |
BNP Paribas Funds Euro Inflation-Linked Bond [C] |
EUR |
141,190000 |
38 574 924,02 |
3 833,00 |
3 833,00 |
148,249500 |
141,190000 |
BNPP Funds Sustainable Europe Dividend [C] |
EUR |
109,620000 |
34 676 769,00 |
6 025,00 |
6 025,00 |
115,101000 |
109,620000 |
BNP Paribas Funds Japan Equity [Classic, C] |
JPY |
7 956,000000 |
5 812 080 848,00 |
129,00 |
129,00 |
8 353,800000 |
7 956,000000 |
BNP Paribas Funds Latin America Equity [C] |
USD |
533,010000 |
27 450 733,36 |
46 280,00 |
46 280,00 |
559,660500 |
533,010000 |
BNP Paribas Funds USD Money Market [Classic, R] |
USD |
233,154149 |
473 092 290,50 |
42 778,00 |
42 778,00 |
244,811856 |
233,154149 |
BNP Paribas Funds Euro Money Market [C] |
EUR |
210,674751 |
1 537 555 670,00 |
3 168 944,00 |
3 168 944,00 |
221,208489 |
210,674751 |
BNP Paribas Funds US Mid Cap [Classic, R] |
USD |
299,580000 |
37 490 460,64 |
9 437,00 |
9 437,00 |
314,559000 |
299,580000 |
BNP Paribas Funds Europe Small Cap [Classic, C] |
EUR |
228,020000 |
174 945 375,60 |
660 787,00 |
660 787,00 |
239,421000 |
228,020000 |
BNP Paribas Funds Climate Impact [Classic, C] |
EUR |
238,290000 |
1 485 579 226,00 |
1 517 890,00 |
1 517 890,00 |
250,204500 |
238,290000 |
BNP Paribas Funds Europe Equity [Classic, C] |
EUR |
279,420000 |
421 939 478,30 |
1 374 569,00 |
1 374 569,00 |
287,802600 |
279,420000 |
BNP Paribas Funds Energy Transition [C] |
EUR |
452,590000 |
314 052 028,80 |
1 088 016,00 |
1 088 016,00 |
475,219500 |
452,590000 |
BNPP Funds Sustainable Global Low Vol Equity[C] |
EUR |
106,240000 |
256 537 227,10 |
969 970,00 |
969 970,00 |
111,552000 |
106,240000 |
BNP Paribas Funds Europe Emerging Equity [C] |
EUR |
0,000000 |
0,00 |
0,00 |
0,00 |
0,000000 |
0,000000 |
BNP Paribas Funds Emerging Equity [Classic, C] |
USD |
522,100000 |
66 949 998,85 |
58 418,00 |
58 418,00 |
548,205000 |
522,100000 |
BNP Paribas Funds China Equity [Classic, C] |
USD |
366,560000 |
98 121 680,46 |
126 590,00 |
126 590,00 |
384,888000 |
366,560000 |
BNP Paribas Funds India Equity [Classic, C] |
USD |
181,900000 |
39 370 357,01 |
126 136,00 |
126 136,00 |
190,995000 |
181,900000 |
BNP Paribas Funds Europe Growth [Classic, C] |
EUR |
58,940000 |
20 035 066,84 |
86 743,00 |
86 743,00 |
61,887000 |
58,940000 |
BNP Paribas Funds Turkey Equity [Classic, R] |
EUR |
239,140000 |
21 477 209,12 |
209 104,00 |
209 104,00 |
251,097000 |
239,140000 |
BNP Paribas Funds Global Equity [EUR C] |
EUR |
171,930000 |
74 395 787,14 |
580 582,00 |
580 582,00 |
177,087900 |
171,930000 |
BNP Paribas Funds Euro Equity [Classic, C] |
EUR |
677,370000 |
822 940 819,30 |
1 187 683,00 |
1 187 683,00 |
697,691100 |
677,370000 |
BNP Paribas Funds Aqua [Classic, C] |
EUR |
196,710000 |
1 135 805 459,00 |
9 806 677,00 |
9 806 677,00 |
202,611300 |
196,710000 |
BNP Paribas Funds Asia Ex-Japan Equity [C] |
USD |
134,890000 |
25 202 658,06 |
7 514,00 |
7 514,00 |
138,936700 |
134,890000 |
BNP Paribas Funds Russia Equity [Classic, C] |
EUR |
0,000000 |
0,00 |
0,00 |
0,00 |
0,000000 |
0,000000 |
BNP Paribas Funds US Small Cap [Classic EUR, R] |
EUR |
413,480000 |
49 531 496,37 |
765 458,00 |
765 458,00 |
425,884400 |
413,480000 |
BNP Paribas Funds Smart Food [Classic, C] |
EUR |
113,550000 |
442 775 103,30 |
225 788,00 |
225 788,00 |
116,956500 |
113,550000 |
BNP Paribas Funds Global Convertible [EUR, C] |
EUR |
169,710000 |
138 873 183,70 |
112 591,00 |
112 591,00 |
174,801300 |
169,710000 |
BNP Paribas Funds US Small Cap [Classic, R] |
USD |
301,960000 |
78 069 679,32 |
280 132,00 |
280 132,00 |
311,018800 |
301,960000 |
BNP Paribas Funds Target Risk Balanced [R] |
EUR |
236,810000 |
231 302 774,90 |
142 062,00 |
142 062,00 |
243,914300 |
236,810000 |
BNP Paribas Funds Global High Yield Bond [C] |
EUR |
100,950000 |
6 096 066,77 |
22 196,00 |
22 196,00 |
103,978500 |
100,950000 |
BNP Paribas Funds Health Care Innovators [C] |
EUR |
1 431,080000 |
1 002 093 936,00 |
238 581,00 |
238 581,00 |
1 474,012400 |
1 431,080000 |
BNP Paribas Funds Europe Small Cap Convert [C] |
EUR |
175,110000 |
110 045 479,90 |
25 018,00 |
25 018,00 |
180,363300 |
175,110000 |
BNP Paribas Funds Europe Convertible [C] |
EUR |
138,400000 |
47 657 723,65 |
142 084,00 |
142 084,00 |
142,552000 |
138,400000 |
BNP Paribas Funds Asia Ex-Japan Bond [EUR, C] |
EUR |
138,940000 |
1 624 780,85 |
91 089,00 |
91 089,00 |
143,108200 |
138,940000 |
BNPP Funds Sustainable Asia ex-Japan Equity [C] |
EUR |
630,310000 |
116 679 876,80 |
265 645,00 |
265 645,00 |
649,219300 |
630,310000 |
BNP Paribas Funds China Equity [Classic EUR, C] |
EUR |
141,950000 |
242 874 722,10 |
2 459 504,00 |
2 459 504,00 |
146,208500 |
141,950000 |
BNP Paribas Funds India Equity [Classic EUR, C] |
EUR |
197,290000 |
24 571 581,66 |
806 608,00 |
806 608,00 |
203,208700 |
197,290000 |
BNP Paribas Funds US Growth [Classic EUR, R] |
EUR |
580,700000 |
378 785 478,10 |
3 807 905,00 |
3 807 905,00 |
598,121000 |
580,700000 |
BNP Paribas Funds Global Environment [C] |
EUR |
270,990000 |
559 002 054,30 |
1 738 584,00 |
1 738 584,00 |
279,119700 |
270,990000 |
BNP Paribas Funds Enhanced Bond 6M [Classic, C] |
EUR |
109,880000 |
162 046 841,30 |
40 855,00 |
40 855,00 |
113,176400 |
109,880000 |
BNP Paribas Funds Euro Sh Term Corp Bond Opp [C] |
EUR |
119,720000 |
136 649 287,40 |
41 120,00 |
41 120,00 |
123,311600 |
119,720000 |
BNP Paribas Funds Emerging M-A Income [EUR, C] |
EUR |
88,290000 |
1 674 625,59 |
323 363,00 |
323 363,00 |
90,938700 |
88,290000 |
BNP Paribas Funds Emerging M-A Income [EUR, DIS] |
EUR |
55,690000 |
579 967,80 |
8 655,00 |
8 655,00 |
57,360700 |
55,690000 |
BNP Paribas Funds Nordic Small Cap [Classic, C] |
EUR |
412,910000 |
58 095 383,38 |
2 232 051,00 |
2 232 051,00 |
425,297300 |
412,910000 |
BNP Paribas Funds Nordic Small Cap [EUR, DIS] |
EUR |
337,730000 |
11 385 718,64 |
160 420,00 |
160 420,00 |
347,861900 |
337,730000 |
BNP Paribas Flexi I US Mortgage [EUR, C] |
EUR |
993,140000 |
859 523,90 |
35,00 |
35,00 |
1 022,934200 |
993,140000 |
BNP Paribas Funds Euro High Yield Bond [C] |
EUR |
214,600000 |
50 249 148,12 |
1 942,00 |
1 942,00 |
221,038000 |
214,600000 |
BNP Paribas Funds Eur HY Short Dur Bond [EUR, C] |
EUR |
114,550000 |
116 181 692,70 |
81 090,00 |
81 090,00 |
117,986500 |
114,550000 |
BNP Paribas Funds Disruptive Technology [C] |
EUR |
2 012,180000 |
1 623 237 882,00 |
6 589 226,00 |
6 589 226,00 |
2 072,545400 |
2 012,180000 |
BNP Paribas Flexi I ABS Opportunities [C] |
EUR |
112,580000 |
2 057 846,99 |
7 194,00 |
7 194,00 |
115,957400 |
112,580000 |
BNP Paribas Flexi I ABS Europe IG Classic |
EUR |
104,640000 |
21 964 173,48 |
0,00 |
0,00 |
107,779200 |
104,640000 |
BNP Paribas Flexi I ABS Europe AAA Classic |
EUR |
102,690000 |
374 281,41 |
0,00 |
0,00 |
105,770700 |
102,690000 |
BNP Paribas Funds US Multi-Factor Equity [Acc] |
USD |
190,110000 |
154 417 610,30 |
1 389,00 |
1 389,00 |
195,813300 |
190,110000 |
BNP Paribas Funds Seasons [Classic, C] |
EUR |
143,640000 |
363 694 145,80 |
18 335,00 |
18 335,00 |
147,949200 |
143,640000 |
BNP Paribas Flexi I Commodities [Classic, C] |
EUR |
67,570000 |
18 990 271,73 |
14 611,00 |
14 611,00 |
69,597100 |
67,570000 |
BNP Paribas Funds Euro Bond Opp [EUR, Acc] |
EUR |
376,920000 |
78 342 593,60 |
66 295,00 |
66 295,00 |
388,227600 |
376,920000 |
BNP Paribas Funds Sustainable M-A Growth [C] |
EUR |
262,260000 |
233 730 332,60 |
341 320,00 |
341 320,00 |
270,127800 |
262,260000 |
BNP Paribas Funds Sustainable M-A Stability [C] |
EUR |
400,820000 |
458 340 586,00 |
106 088,00 |
106 088,00 |
412,844600 |
400,820000 |
BNPP Funds Sustainable M-A Bal [Classic] |
EUR |
217,820000 |
424 051 278,80 |
213 570,00 |
213 570,00 |
224,354600 |
217,820000 |
BNPP Funds Sustainable M-A Bal [Solidarity BE] |
EUR |
105,530000 |
91 253 617,55 |
10 796,00 |
10 796,00 |
108,695900 |
105,530000 |
BNP Paribas Flexi I Conv Bond Classic [C] |
EUR |
105,110000 |
38 042 196,32 |
20 777,00 |
20 777,00 |
108,263300 |
105,110000 |
BNP Paribas Envir AR Thematic Eq (EARTH) - EUR |
EUR |
51,620000 |
5 480 321,66 |
176 292,00 |
176 292,00 |
53,168600 |
51,620000 |
BNP Paribas Funds Global Enhanced Bond 36M |
EUR |
103,570000 |
35 265 784,66 |
87 991,00 |
87 991,00 |
106,677100 |
103,570000 |
BNP Paribas Funds Euro Flex. Bond [Classic, C] |
EUR |
100,780000 |
90 278 855,60 |
28 201,00 |
28 201,00 |
103,803400 |
100,780000 |
BNP Paribas Funds Global Bond Opportunities [C] |
EUR |
90,930000 |
98 816 022,43 |
350 579,00 |
350 579,00 |
93,657900 |
90,930000 |
HB Reavis Stredoeurópsky REF - Class I |
EUR |
1 319,030000 |
133 499 267,34 |
122 965 139,25 |
122 965 139,25 |
1 319,030000 |
1 319,030000 |
HB Reavis Stredoeurópsky REF - Class O |
EUR |
103,210000 |
5 377 391,32 |
5 377 391,32 |
5 377 391,32 |
106,306300 |
98,049500 |
HB Reavis Stredoeurópsky REF - Class A |
EUR |
968,260000 |
7 753 266,37 |
7 753 266,37 |
7 753 266,37 |
977,942600 |
958,577400 |
Raiffeisen-EmergingMarkets-Rent |
EUR |
179,660000 |
172 703 284,50 |
1 018 971,33 |
1 018 971,33 |
186,846400 |
179,660000 |
Raiffeisen-Energie-Aktien |
EUR |
141,360000 |
117 933 332,60 |
412 945,64 |
412 945,64 |
148,428000 |
141,360000 |
Raiffeisen-Asia Opport-ESG-Aktien (R) VTA |
EUR |
238,060000 |
411 515 494,80 |
135 109,76 |
135 109,76 |
249,963000 |
238,060000 |
Raiffeisen-Europa-HighYield |
EUR |
296,190000 |
422 437 842,00 |
312 231,06 |
312 231,06 |
305,075700 |
296,190000 |
Raiffeisen-Osteuropa-Rent |
EUR |
227,360000 |
53 282 719,65 |
246 748,58 |
246 748,58 |
234,180800 |
227,360000 |
Raiffeisen-Zentraleuropa-ESG-Aktien |
EUR |
151,900000 |
109 542 876,60 |
28 029,65 |
28 029,65 |
159,495000 |
151,900000 |
Raiff-Nachhaltigkeit-Dollar-ShortTerm-Rent |
USD |
163,880000 |
30 505 769,96 |
212 272,37 |
212 272,37 |
165,518800 |
163,880000 |
Raiffeisen-Nachhaltigkeit-Mix |
EUR |
133,250000 |
5 090 227 444,00 |
37 119 517,66 |
37 119 517,66 |
137,247500 |
133,250000 |
Raiffeisen-Russland-Aktien |
EUR |
0,000000 |
0,00 |
0,00 |
0,00 |
0,000000 |
0,000000 |
Raiffeisen-Inflationsschutz-Fonds |
EUR |
142,440000 |
70 342 000,50 |
82 146,15 |
82 146,15 |
146,713200 |
142,440000 |
Raiffeisen-Active-Commodities |
EUR |
68,570000 |
56 799 834,23 |
203 064,98 |
203 064,98 |
71,998500 |
68,570000 |
Raiffeisen-Nachhaltigkeit-EM-Local Bonds (R) |
EUR |
117,270000 |
119 866 110,40 |
108 032,64 |
108 032,64 |
121,960800 |
117,270000 |
Raiffeisen-Euro-Corporates |
EUR |
193,300000 |
199 912 044,50 |
50 508,32 |
50 508,32 |
199,099000 |
193,300000 |
Raiffeisen-Global-Fundamental-Bonds |
EUR |
102,620000 |
89 958 477,86 |
0,00 |
0,00 |
105,698600 |
102,620000 |
Raiffeisenfonds-Ertrag VTA |
EUR |
173,430000 |
1 047 070 234,00 |
2 978 802,64 |
2 978 802,64 |
179,500050 |
173,430000 |
Raiffeisenfonds-Sicherheit VTA |
EUR |
149,710000 |
1 065 540 512,00 |
3 842 202,95 |
3 842 202,95 |
154,201300 |
149,710000 |
Raiffeisenfonds-Wachstum VTA |
EUR |
185,380000 |
355 770 947,80 |
144 291,45 |
144 291,45 |
192,795200 |
185,380000 |
Raiffeisen-Euro-ShortTerm-Rent (R) V |
EUR |
104,300000 |
258 723 061,50 |
0,00 |
0,00 |
105,343000 |
104,300000 |
Raiffeisen-Euro-Rent |
EUR |
144,020000 |
315 307 597,50 |
0,00 |
0,00 |
147,620500 |
144,020000 |
Raiffeisen-Nachhaltigkeit-Solide |
EUR |
101,210000 |
693 993 911,10 |
7 869 080,03 |
7 869 080,03 |
104,246300 |
101,210000 |
Raiffeisen-Nachhaltigkeit-ShortTerm |
EUR |
95,570000 |
84 350 678,95 |
0,00 |
0,00 |
96,525700 |
95,570000 |
Raiffeisen-Nachhaltigkeit-Wachstum |
EUR |
112,900000 |
115 389 550,20 |
4 068 867,00 |
4 068 867,00 |
117,416000 |
112,900000 |
Raiffeisen-Nachhaltigkeit-Aktien |
EUR |
203,220000 |
1 392 223 355,00 |
7 597 616,25 |
7 597 616,25 |
211,348800 |
203,220000 |
Raiffeisen-Nachhaltigkeit-Momentum |
EUR |
114,620000 |
266 153 962,00 |
15 423,84 |
15 423,84 |
114,620000 |
114,620000 |
Raiffeisen-Nachhaltigkeit-EM-Aktien (R) VTA |
EUR |
107,630000 |
273 203 348,40 |
16 544,88 |
16 544,88 |
107,630000 |
107,630000 |
Franklin K2 Alternative Strategies Fund |
USD |
11,540000 |
735 471 478,74 |
260 715,99 |
260 715,99 |
12,203550 |
11,540000 |
Franklin Global Fundamental Strategies Fund |
USD |
13,620000 |
1 030 926 761,27 |
375 100,92 |
375 100,92 |
14,403150 |
13,620000 |
Franklin Income Fund |
USD |
12,710000 |
4 320 039 145,50 |
0,00 |
0,00 |
13,440825 |
12,710000 |
Templeton Emerging Markets Balanced Fund |
USD |
9,580000 |
107 476 998,99 |
88 180,37 |
88 180,37 |
10,130850 |
9,580000 |
Templeton Global Balanced Fund |
USD |
34,070000 |
477 207 578,55 |
64 254,30 |
64 254,30 |
36,029025 |
34,070000 |
Templeton Global Income Fund |
USD |
17,990000 |
185 272 270,53 |
742 283,00 |
742 283,00 |
19,024425 |
17,990000 |
Franklin Biotechnology Discovery Fund |
USD |
31,560000 |
1 560 738 202,93 |
3 231 355,55 |
3 231 355,55 |
33,374700 |
31,560000 |
Franklin European Dividend Fund |
EUR |
18,530000 |
26 422 123,64 |
10 643,93 |
10 643,93 |
19,595475 |
18,530000 |
Franklin European Growth Fund |
EUR |
14,000000 |
107 145 682,96 |
554 786,09 |
554 786,09 |
14,805000 |
14,000000 |
Franklin European Small-Mid Cap Growth Fund |
EUR |
38,960000 |
79 241 997,09 |
379 731,07 |
379 731,07 |
41,200200 |
38,960000 |
Franklin Global Real Estate Fund |
USD |
11,910000 |
99 629 763,31 |
65 201,43 |
65 201,43 |
12,594825 |
11,910000 |
Franklin Gold & Precious Metals Fund |
USD |
5,200000 |
375 924 377,29 |
1 143 127,52 |
1 143 127,52 |
5,499000 |
5,200000 |
Franklin India Fund |
USD |
56,640000 |
1 720 876 905,54 |
2 173 810,55 |
2 173 810,55 |
59,896800 |
56,640000 |
Franklin Japan Fund |
USD |
8,760000 |
77 784 535,16 |
14 886,81 |
14 886,81 |
9,263700 |
8,760000 |
Franklin MENA Fund |
USD |
9,590000 |
62 299 516,03 |
143 390,92 |
143 390,92 |
10,141425 |
9,590000 |
Franklin Mutual U.S. Value Fund |
USD |
94,870000 |
249 825 298,66 |
157 771,75 |
157 771,75 |
100,325025 |
94,870000 |
Franklin Mutual European Fund |
EUR |
28,500000 |
513 704 392,34 |
738 721,18 |
738 721,18 |
30,138750 |
28,500000 |
Franklin Mutual Global Discovery Fund |
USD |
24,570000 |
527 640 263,16 |
2 045 948,63 |
2 045 948,63 |
25,982775 |
24,570000 |
Franklin Natural Resources Fund |
USD |
7,850000 |
297 963 518,55 |
18 232 787,23 |
18 232 787,23 |
8,301375 |
7,850000 |
Franklin Technology Fund |
USD |
37,770000 |
9 764 000 168,42 |
24 646 637,84 |
24 646 637,84 |
39,941775 |
37,770000 |
Franklin U.S. Opportunities Fund |
USD |
26,830000 |
6 346 069 515,64 |
10 789 111,76 |
10 789 111,76 |
28,372725 |
26,830000 |
Franklin World Perspectives Fund |
USD |
26,750000 |
213 560 520,78 |
2 755 981,05 |
2 755 981,05 |
28,288125 |
26,750000 |
Templeton Asian Growth Fund |
USD |
32,880000 |
1 784 334 203,08 |
2 152 018,89 |
2 152 018,89 |
34,770600 |
32,880000 |
Templeton Asian Smaller Companies Fund |
USD |
55,390000 |
811 257 790,92 |
9 413 104,54 |
9 413 104,54 |
58,574925 |
55,390000 |
Templeton BRIC Fund |
USD |
17,410000 |
361 283 380,65 |
418 087,56 |
418 087,56 |
18,411075 |
17,410000 |
Templeton China Fund |
USD |
19,190000 |
352 359 973,50 |
69 720,96 |
69 720,96 |
20,293425 |
19,190000 |
Templeton Eastern Europe Fund |
EUR |
12,480000 |
97 637 414,93 |
24 380,87 |
24 380,87 |
13,197600 |
12,480000 |
Templeton Emerging Markets Fund |
USD |
42,090000 |
724 573 307,52 |
25 227 206,57 |
25 227 206,57 |
44,510175 |
42,090000 |
Templeton EM Smaller Companies Fund |
USD |
13,530000 |
393 928 290,50 |
1 328 553,47 |
1 328 553,47 |
14,307975 |
13,530000 |
Templeton Euroland Fund |
EUR |
24,400000 |
150 579 556,80 |
27 968,11 |
27 968,11 |
25,803000 |
24,400000 |
Templeton Frontier Markets Fund |
USD |
19,820000 |
230 811 276,43 |
660 734,74 |
660 734,74 |
20,959650 |
19,820000 |
Templeton Global Climate Change Fund |
EUR |
31,360000 |
1 278 577 653,08 |
574 988,90 |
574 988,90 |
33,163200 |
31,360000 |
Templeton Global Fund |
USD |
41,950000 |
579 597 978,76 |
66 490,70 |
66 490,70 |
44,362125 |
41,950000 |
Templeton Growth (Euro) Fund |
EUR |
19,540000 |
6 876 220 133,84 |
2 055 747,09 |
2 055 747,09 |
20,663550 |
19,540000 |
Templeton Latin America Fund |
USD |
66,210000 |
734 714 564,05 |
416 217,19 |
416 217,19 |
70,017075 |
66,210000 |
Franklin Strategic Balanced Fund |
EUR |
14,360000 |
184 669 793,46 |
0,00 |
0,00 |
15,185700 |
14,360000 |
Franklin Strategic Conservative Fund |
EUR |
11,710000 |
87 769 309,75 |
0,00 |
0,00 |
12,295500 |
11,710000 |
Franklin Strategic Dynamic Fund |
EUR |
15,670000 |
145 097 047,70 |
0,00 |
0,00 |
16,571025 |
15,670000 |
Franklin Global Convertible Securities Fund |
USD |
20,140000 |
798 193 734,88 |
95 046,74 |
95 046,74 |
21,298050 |
20,140000 |
Franklin Euro High Yield Fund |
EUR |
19,770000 |
299 674 920,27 |
267 302,27 |
267 302,27 |
20,758500 |
19,770000 |
Franklin European Corporate Bond Fund |
EUR |
12,240000 |
40 623 117,17 |
60 379,33 |
60 379,33 |
12,852000 |
12,240000 |
Franklin European Total Return Fund |
EUR |
14,440000 |
1 527 165 159,10 |
828 716,54 |
828 716,54 |
15,162000 |
14,440000 |
Franklin Global Aggregate Bond Fund |
USD |
9,710000 |
13 747 673,31 |
0,00 |
0,00 |
10,195500 |
9,710000 |
Franklin High Yield Fund |
USD |
20,710000 |
920 087 987,54 |
28 385,74 |
28 385,74 |
21,745500 |
20,710000 |
Franklin Strategic Income Fund |
EUR |
14,350000 |
413 054 262,80 |
273 099,08 |
273 099,08 |
15,067500 |
14,350000 |
Franklin U.S. Government Fund |
USD |
10,150000 |
751 274 970,59 |
68 410,86 |
68 410,86 |
10,657500 |
10,150000 |
Templeton Asian Bond Fund |
USD |
15,540000 |
106 830 751,17 |
112 134,65 |
112 134,65 |
16,317000 |
15,540000 |
Templeton Emerging Markets Bond Fund |
USD |
10,580000 |
1 905 608 562,13 |
1 889 151,43 |
1 889 151,43 |
11,109000 |
10,580000 |
Templeton Global Bond (Euro) Fund |
EUR |
12,230000 |
46 099 620,27 |
40 423,84 |
40 423,84 |
12,841500 |
12,230000 |
Templeton Global Bond Fund |
USD |
25,190000 |
3 143 809 047,31 |
4 031 954,70 |
4 031 954,70 |
26,449500 |
25,190000 |
Templeton Global High Yield Fund |
USD |
15,210000 |
77 007 349,91 |
52 178,33 |
52 178,33 |
15,970500 |
15,210000 |
Templeton Global Total Return Fund |
USD |
23,280000 |
2 219 702 473,60 |
4 392 819,78 |
4 392 819,78 |
24,444000 |
23,280000 |
BGF Euro-Markets Fund A2 EUR |
EUR |
38,610000 |
1 173 715 117,73 |
0,00 |
0,00 |
40,540500 |
38,610000 |
BGF Asian Dragon Fund D2 EUR |
EUR |
43,950000 |
677 030 322,21 |
0,00 |
0,00 |
46,147500 |
43,950000 |
BGF FI Global Opportunities Fund A2 EUR |
EUR |
13,740000 |
5 997 450 072,54 |
0,00 |
0,00 |
14,427000 |
13,740000 |
BGF Euro Short Duration Bond Fund A2 EUR |
EUR |
15,140000 |
4 296 467 870,77 |
0,00 |
0,00 |
15,897000 |
15,140000 |
BGF European Equity Income Fund A2 EUR |
EUR |
24,590000 |
1 508 075 686,30 |
0,00 |
0,00 |
25,819500 |
24,590000 |
BGF Global Allocation Fund A2 EUR |
EUR |
63,500000 |
13 034 607 870,44 |
0,00 |
0,00 |
66,675000 |
63,500000 |
BGF Global Equity Income Fund A2 EUR |
EUR |
19,640000 |
818 101 122,25 |
0,00 |
0,00 |
20,622000 |
19,640000 |
BGF Global Multi Asset Income Fund A2 EUR |
EUR |
13,330000 |
4 241 283 935,86 |
0,00 |
0,00 |
13,996500 |
13,330000 |
BGF Global High Yield Bond Fund A2 EUR Hdg |
EUR |
16,440000 |
1 464 673 292,40 |
0,00 |
0,00 |
17,262000 |
16,440000 |
BSF Fixed Income Strategies Fund A2 EUR |
EUR |
122,990000 |
2 303 609 735,26 |
0,00 |
0,00 |
129,139500 |
122,990000 |
iShares STOXX Europe 600 UCITS ETF (DE) (D) |
EUR |
45,540000 |
5 589 331 851,34 |
0,00 |
0,00 |
46,450800 |
45,084600 |
iShares Core DAX® UCITS ETF (DE) (A) |
EUR |
134,200000 |
5 763 624 280,46 |
0,00 |
0,00 |
136,884000 |
132,858000 |
iShares eb.rexx® Gov Germany UCITS ETF (DE) (D) |
EUR |
120,210000 |
260 767 196,23 |
0,00 |
0,00 |
122,614200 |
119,007900 |
iShares STOXX Europe 600 Utilities UCITS ETF(DE) |
EUR |
38,030000 |
197 102 700,44 |
0,00 |
0,00 |
38,790600 |
37,649700 |
iShares eb.rexx® Gov Germany 0-1y UCITS ETF (DE) |
EUR |
73,520000 |
1 722 533 801,52 |
0,00 |
0,00 |
74,990400 |
72,784800 |
iShares Core FTSE 100 UCITS ETF GBP (D) |
GBP |
7,328100 |
10 939 358 155,14 |
0,00 |
0,00 |
7,328100 |
7,328100 |
iShares € Corp Bond Large Cap UCITS ETF EUR (D) |
EUR |
119,792900 |
2 546 976 596,75 |
0,00 |
0,00 |
119,792900 |
119,792900 |
iShares $ Corp Bond UCITS ETF USD (D) |
USD |
99,027100 |
4 327 604 804,36 |
0,00 |
0,00 |
99,027100 |
99,027100 |
iShares MSCI World UCITS ETF USD (D) |
USD |
64,263400 |
6 185 765 516,36 |
0,00 |
0,00 |
64,263400 |
64,263400 |
iShares Euro Dividend UCITS ETF EUR (D) |
EUR |
16,394500 |
687 045 191,85 |
0,00 |
0,00 |
16,394500 |
16,394500 |
iShares € Infl Linked Gov Bond UCITS ETF EUR (A) |
EUR |
220,956600 |
1 400 307 043,26 |
0,00 |
0,00 |
220,956600 |
220,956600 |
iShares MSCI Emerging Markets UCITS ETF (D) |
USD |
38,164800 |
3 908 967 352,48 |
0,00 |
0,00 |
38,164800 |
38,164800 |
iShares European Property Yield UCITS ETF EUR(D) |
EUR |
26,505400 |
937 705 261,80 |
0,00 |
0,00 |
26,505400 |
26,505400 |
iShares MSCI Far East ex-Japan UCITS ETF USD (D) |
USD |
47,358700 |
892 537 027,03 |
0,00 |
0,00 |
47,358700 |
47,358700 |
iShares MSCI North America UCITS ETF USD (D) |
USD |
84,398700 |
959 428 896,95 |
0,00 |
0,00 |
84,398700 |
84,398700 |
iShares € Govt Bond 1-3yr UCITS ETF EUR (D) |
EUR |
139,497500 |
1 131 255 788,10 |
0,00 |
0,00 |
139,497500 |
139,497500 |
iShares DM Property Yield UCITS ETF USD (D) |
USD |
20,986000 |
1 147 369 606,45 |
0,00 |
0,00 |
20,986000 |
20,986000 |
iShares Global Infrastructure UCITS ETF USD (D) |
USD |
29,013000 |
1 441 494 197,10 |
0,00 |
0,00 |
29,013000 |
29,013000 |
iShares € Govt Bond 3-5yr UCITS ETF EUR (D) |
EUR |
157,397400 |
2 045 598 345,58 |
0,00 |
0,00 |
157,397400 |
157,397400 |
iShares € Govt Bond 7-10yr UCITS ETF EUR (D) |
EUR |
181,649800 |
863 316 358,63 |
0,00 |
0,00 |
181,649800 |
181,649800 |
iShares € Govt Bond 15-30yr UCITS ETF EUR (D) |
EUR |
169,527000 |
1 037 658 268,16 |
0,00 |
0,00 |
169,527000 |
169,527000 |
iShares $ TIPS UCITS ETF USD (A) |
USD |
226,569100 |
2 881 796 612,42 |
0,00 |
0,00 |
226,569100 |
226,569100 |
iShares Listed Private Equity UCITS ETF USD (D) |
USD |
27,379600 |
628 754 175,65 |
0,00 |
0,00 |
27,379600 |
27,379600 |
iShares Global Water UCITS ETF USD (D) |
USD |
58,339700 |
2 039 947 617,24 |
0,00 |
0,00 |
58,339700 |
58,339700 |
iShares Global Clean Energy UCITS ETF USD (D) |
USD |
7,911300 |
3 524 086 385,03 |
0,00 |
0,00 |
7,911300 |
7,911300 |
iShares Core MSCI Europe UCITS ETF EUR (D) |
EUR |
28,599900 |
6 908 960 533,30 |
0,00 |
0,00 |
28,599900 |
28,599900 |
iShares J.P. Morgan $ EM Bond UCITS ETF USD (D) |
USD |
82,804800 |
4 853 284 520,67 |
0,00 |
0,00 |
82,804800 |
82,804800 |
iShares EM Infrastructure UCITS ETF USD (D) |
USD |
14,312100 |
28 554 357,86 |
0,00 |
0,00 |
14,312100 |
14,312100 |
iShares Glbl Infl Lnkd Gov Bond UCITS ETF USD(A) |
USD |
149,191700 |
649 049 214,81 |
0,00 |
0,00 |
149,191700 |
149,191700 |
iShares € Covered Bond UCITS ETF EUR (D) |
EUR |
136,021700 |
1 190 366 435,99 |
0,00 |
0,00 |
136,021700 |
136,021700 |
iShares € Aggregate Bond UCITS ETF EUR (D) |
EUR |
104,861900 |
1 799 705 379,91 |
0,00 |
0,00 |
104,861900 |
104,861900 |
iShares Global Govt Bond UCITS ETF USD (D) |
USD |
88,979400 |
988 379 631,08 |
0,00 |
0,00 |
88,979400 |
88,979400 |
iShares Core € Corp Bond UCITS ETF EUR (D) |
EUR |
115,639100 |
12 961 243 641,70 |
0,00 |
0,00 |
115,639100 |
115,639100 |
iShares € Govt Bond 0-1yr UCITS ETF EUR (D) |
EUR |
98,269400 |
678 726 183,88 |
0,00 |
0,00 |
98,269400 |
98,269400 |
iShares € Govt Bond 3-7yr UCITS ETF EUR (A) |
EUR |
123,604000 |
688 479 344,23 |
0,00 |
0,00 |
123,604000 |
123,604000 |
iShares S&P 500 EUR Hedged UCITS ETF (A) |
EUR |
96,136900 |
5 499 031 701,90 |
0,00 |
0,00 |
96,136900 |
96,136900 |
iShares Spain Govt Bond UCITS ETF EUR (D) |
EUR |
145,247900 |
252 359 225,88 |
0,00 |
0,00 |
145,247900 |
145,247900 |
iShares MSCI Japan EUR Hedged UCITS ETF (A) |
EUR |
76,351400 |
726 866 243,72 |
0,00 |
0,00 |
76,351400 |
76,351400 |
iShares MSCI World EUR Hedged UCITS ETF (A) |
EUR |
73,981900 |
3 209 337 862,26 |
0,00 |
0,00 |
73,981900 |
73,981900 |
iShares Core MSCI Europe UCITS ETF EUR (A) |
EUR |
69,092900 |
5 666 381 388,82 |
0,00 |
0,00 |
69,092900 |
69,092900 |
iShares Core MSCI World UCITS ETF |
USD |
86,153900 |
59 543 225 724,43 |
0,00 |
0,00 |
86,153900 |
86,153900 |
iShares MSCI EM UCITS ETF USD (A) |
USD |
34,690200 |
2 456 071 136,72 |
0,00 |
0,00 |
34,690200 |
34,690200 |
iShares Core MSCI Japan IMI UCITS ETF USD (A) |
USD |
48,689200 |
4 210 757 482,66 |
0,00 |
0,00 |
48,689200 |
48,689200 |
iShares € Corp Bond ex-Fin UCITS ETF EUR (D) |
EUR |
104,379500 |
1 125 350 328,34 |
0,00 |
0,00 |
104,379500 |
104,379500 |
iShares € Corp Bond ex-Fin 1-5y UCITS ETF EUR(D) |
EUR |
102,846500 |
1 110 612 768,55 |
0,00 |
0,00 |
102,846500 |
102,846500 |
iShares $ High Yield Corp Bond UCITS ETF USD (D) |
USD |
89,357400 |
3 643 716 363,18 |
0,00 |
0,00 |
89,357400 |
89,357400 |
iShares € Govt Bond 5-7yr UCITS ETF EUR (D) |
EUR |
140,968500 |
485 267 372,05 |
0,00 |
0,00 |
140,968500 |
140,968500 |
iShares € Govt Bond 10-15yr UCITS ETF EUR (D) |
EUR |
145,514500 |
81 690 439,79 |
0,00 |
0,00 |
145,514500 |
145,514500 |
iShares Core € Govt Bond UCITS ETF EUR (D) |
EUR |
107,317600 |
4 252 051 956,31 |
0,00 |
0,00 |
107,317600 |
107,317600 |
iShares Nikkei 225 UCITS ETF JPY (A) |
JPY |
33 395,226100 |
42 537 035 723,21 |
0,00 |
0,00 |
33 395,226100 |
33 395,226100 |
iShares Core MSCI Pacific ex-Jp UCITS ETF USD(A) |
USD |
159,876900 |
2 494 126 686,52 |
0,00 |
0,00 |
159,876900 |
159,876900 |
iShares MSCI USA UCITS ETF USD (A) |
USD |
458,970300 |
668 848 727,49 |
0,00 |
0,00 |
458,970300 |
458,970300 |
iShares MSCI Europe SRI UCITS ETF EUR (A) |
EUR |
61,747700 |
3 626 524 417,09 |
0,00 |
0,00 |
61,747700 |
61,747700 |
iShares Core EURO STOXX 50 UCITS ETF EUR (A) |
EUR |
157,095400 |
3 675 977 463,77 |
0,00 |
0,00 |
157,095400 |
157,095400 |
iShares FTSE MIB UCITS ETF EUR (A) |
EUR |
129,243900 |
145 409 571,36 |
0,00 |
0,00 |
129,243900 |
129,243900 |
iShares Core MSCI EMU UCITS ETF EUR (A) |
EUR |
154,148500 |
2 892 947 447,50 |
0,00 |
0,00 |
154,148500 |
154,148500 |
iShares NASDAQ 100 UCITS ETF USD (Acc) |
USD |
910,221100 |
10 642 460 364,17 |
0,00 |
0,00 |
910,221100 |
910,221100 |
iShares Core S&P 500 UCITS ETF USD (A) |
USD |
477,488100 |
65 073 268 477,06 |
0,00 |
0,00 |
477,488100 |
477,488100 |
iShares MSCI EM Asia UCITS ETF USD (A) |
USD |
154,305500 |
2 191 738 416,64 |
0,00 |
0,00 |
154,305500 |
154,305500 |
iShares J.P.M EM Local Gov Bond UCITS ETF USD(D) |
USD |
44,565400 |
4 726 515 096,71 |
0,00 |
0,00 |
44,565400 |
44,565400 |
iShares Germany Govt Bond UCITS ETF EUR (D) |
EUR |
119,827600 |
200 878 997,92 |
0,00 |
0,00 |
119,827600 |
119,827600 |
iShares € High Yield Corp Bond UCITS ETF |
EUR |
90,341500 |
5 374 757 273,00 |
0,00 |
0,00 |
90,341500 |
90,341500 |
iShares Em Asia Local Govt Bond UCITS ETF USD(D) |
USD |
84,391900 |
152 887 177,27 |
0,00 |
0,00 |
84,391900 |
84,391900 |
iShares MSCI ACWI UCITS ETF USD (A) |
USD |
71,892000 |
9 705 423 230,51 |
0,00 |
0,00 |
71,892000 |
71,892000 |
iShares € Corp Bond IR Hdg ESG UCITS ETF EUR(D) |
EUR |
96,143600 |
331 410 769,11 |
0,00 |
0,00 |
96,143600 |
96,143600 |
iShares Global HY Corp Bond UCITS ETF USD (D) |
USD |
83,150600 |
730 090 717,64 |
0,00 |
0,00 |
83,150600 |
83,150600 |
iShares Global Corp Bond UCITS ETF USD (D) |
USD |
84,458000 |
1 164 279 905,33 |
0,00 |
0,00 |
84,458000 |
84,458000 |
iShares Italy Govt Bond UCITS ETF EUR (D) |
EUR |
143,576700 |
781 114 577,25 |
0,00 |
0,00 |
143,576700 |
143,576700 |
iShares Edge MSCI Europe MinVol UCITS ETF EUR(A) |
EUR |
53,733400 |
819 470 820,84 |
0,00 |
0,00 |
53,733400 |
53,733400 |
iShares Global AAA-AA Gov Bond UCITS ETF USD (D) |
USD |
75,784300 |
109 322 587,92 |
0,00 |
0,00 |
75,784300 |
75,784300 |
iShares € Corp Bond Financials UCITS ETF EUR (D) |
EUR |
95,651600 |
318 375 764,01 |
0,00 |
0,00 |
95,651600 |
95,651600 |
iShares J.P.Morgan $EM Bond EUR Hdg UCITS ETF(D) |
EUR |
63,737800 |
2 100 253 916,70 |
0,00 |
0,00 |
63,737800 |
63,737800 |
iShares Global Corp Bond EUR Hdg UCITS ETF (D) |
EUR |
83,412300 |
1 304 737 157,23 |
0,00 |
0,00 |
83,412300 |
83,412300 |
iShares MSCI EMU Mid Cap UCITS ETF EUR (A) |
EUR |
45,790600 |
133 005 165,54 |
0,00 |
0,00 |
45,790600 |
45,790600 |
iShares MSCI EMU Large Cap UCITS ETF EUR (A) |
EUR |
50,539000 |
131 473 043,46 |
0,00 |
0,00 |
50,539000 |
50,539000 |
iShares € Ultrashort Bond UCITS ETF EUR (D) |
EUR |
102,039700 |
2 854 737 272,80 |
0,00 |
0,00 |
102,039700 |
102,039700 |
iShares Edge MSCI USA Value UCITS ETF USD (A) |
USD |
8,454500 |
2 162 091 644,41 |
0,00 |
0,00 |
8,454500 |
8,454500 |
iShares Core Glbl Agg Bond UCITS ETF EUR Hdg (A) |
USD |
4,552700 |
1 467 505 604,90 |
0,00 |
0,00 |
4,552700 |
4,552700 |
iShares US Aggregate Bond UCITS ETF EUR Hdg (A) |
USD |
4,466500 |
250 213 819,06 |
0,00 |
0,00 |
4,466500 |
4,466500 |
iShares Diversified Commodity Swap UCITS ETF |
USD |
6,702700 |
1 593 899 254,81 |
0,00 |
0,00 |
6,702700 |
6,702700 |
iShares $ TIPS UCITS ETF EUR Hedged (A) |
USD |
4,984700 |
459 300 623,46 |
0,00 |
0,00 |
4,984700 |
4,984700 |
iShares $ Float Rate Bond UCITS ETF EUR Hdg (D) |
USD |
4,406100 |
52 258 865,38 |
0,00 |
0,00 |
4,406100 |
4,406100 |
iShares Core € Corp Bond UCITS ETF EUR (A) |
EUR |
4,777500 |
1 910 018 739,05 |
0,00 |
0,00 |
4,777500 |
4,777500 |
iShares Global Corp Bond UCITS ETF USD Hdg (A) |
USD |
5,340600 |
585 207 946,82 |
0,00 |
0,00 |
5,340600 |
5,340600 |
iShares € High Yield Corp Bond UCITS ETF EUR (A) |
EUR |
5,362100 |
286 523 680,48 |
0,00 |
0,00 |
5,362100 |
5,362100 |
iShares J.P.Morgan ESG $EM Bond UCITS ETF USD(A) |
USD |
4,971300 |
1 157 895 480,84 |
0,00 |
0,00 |
4,971300 |
4,971300 |
iShares MSCI EMU ESG Screened UCITS ETF EUR (A) |
EUR |
7,225000 |
955 729 401,27 |
0,00 |
0,00 |
7,225000 |
7,225000 |
iShares MSCI Europe ESG Screend UCITS ETF EUR(A) |
EUR |
7,316300 |
2 192 355 464,86 |
0,00 |
0,00 |
7,316300 |
7,316300 |
iShares MSCI USA ESG Screened UCITS ETF USD (A) |
USD |
9,069400 |
5 333 996 978,22 |
0,00 |
0,00 |
9,069400 |
9,069400 |
iShares MSCI EM IMI ESG Screend UCITS ETF USD(A) |
USD |
5,815800 |
2 583 093 535,40 |
0,00 |
0,00 |
5,815800 |
5,815800 |
iShares $ Corp B 0-3y ESG UCITS ETF EUR Hdg (A) |
USD |
4,987900 |
402 636 808,82 |
0,00 |
0,00 |
4,987900 |
4,987900 |
iShares MSCI Europe SRI UCITS ETF EUR (D) |
EUR |
6,841000 |
598 233 772,39 |
0,00 |
0,00 |
6,841000 |
6,841000 |
iShares MSCI EMU ESG Enhanced UCITS ETF EUR (A) |
EUR |
6,723800 |
1 060 952 858,59 |
0,00 |
0,00 |
6,723800 |
6,723800 |
iShares MSCI EM ESG Enhanced UCITS ETF USD (A) |
USD |
5,156200 |
3 339 677 761,25 |
0,00 |
0,00 |
5,156200 |
5,156200 |
iShares MSCI Japan ESG Enhanced UCITS ETF USD(A) |
USD |
6,144300 |
1 188 937 782,71 |
0,00 |
0,00 |
6,144300 |
6,144300 |
iShares MSCI Europe ESG Enhancd UCITS ETF EUR(A) |
EUR |
6,591000 |
1 386 975 684,02 |
0,00 |
0,00 |
6,591000 |
6,591000 |
iShares MSCI USA ESG Enhanced UCITS ETF USD (A) |
USD |
8,236300 |
5 472 053 705,40 |
0,00 |
0,00 |
8,236300 |
8,236300 |
iShares J.P.Morgan $EM Bond UCITS ETF EUR Hdg(A) |
USD |
4,279300 |
189 107 228,37 |
0,00 |
0,00 |
4,279300 |
4,279300 |
iShares $ HY Corp Bond ESG UCITS ETF USD (A) |
USD |
5,302900 |
446 227 896,84 |
0,00 |
0,00 |
5,302900 |
5,302900 |
iShares € HY Corp Bond ESG UCITS ETF EUR (A) |
EUR |
4,953800 |
1 901 638 764,62 |
0,00 |
0,00 |
4,953800 |
4,953800 |
iShares Core MSCI EM IMI UCITS ETF USD (A) |
USD |
30,420600 |
17 351 411 763,93 |
0,00 |
0,00 |
30,420600 |
30,420600 |
iShares MSCI France UCITS ETF EUR (A) |
EUR |
52,097800 |
83 356 596,95 |
0,00 |
0,00 |
52,097800 |
52,097800 |
iShares € GovB 20yr Target Dur UCITS ETF EUR (D) |
EUR |
3,627300 |
145 950 855,18 |
0,00 |
0,00 |
3,627300 |
3,627300 |
iShares € Corp Bond BBB-BB UCITS ETF EUR (D) |
EUR |
4,603400 |
446 469 481,21 |
0,00 |
0,00 |
4,603400 |
4,603400 |
iShares MSCI EM SRI UCITS ETF USD (A) |
USD |
6,807600 |
3 515 602 190,60 |
0,00 |
0,00 |
6,807600 |
6,807600 |
iShares MSCI USA SRI UCITS ETF USD (A) |
USD |
13,315100 |
7 818 265 507,09 |
0,00 |
0,00 |
13,315100 |
13,315100 |
iShares MSCI Japan SRI UCITS ETF USD (A) |
USD |
6,459400 |
951 880 642,84 |
0,00 |
0,00 |
6,459400 |
6,459400 |
iShares Edge S&P 500 MinVol UCITS ETF EUR Hdg(A) |
USD |
7,965100 |
60 551 184,38 |
0,00 |
0,00 |
7,965100 |
7,965100 |
iShares $ Corp Bond UCITS ETF USD (A) |
USD |
5,426200 |
3 104 633 430,03 |
0,00 |
0,00 |
5,426200 |
5,426200 |
iShares J.P. Morgan $ EM Bond UCITS ETF USD (A) |
USD |
5,064000 |
1 114 901 180,31 |
0,00 |
0,00 |
5,064000 |
5,064000 |
iShares $ High Yield Corp Bond UCITS ETF USD (A) |
USD |
6,048000 |
1 679 729 786,73 |
0,00 |
0,00 |
6,048000 |
6,048000 |
iShares US Aggregate Bond UCITS ETF USD (A) |
USD |
5,050000 |
3 050 483 520,29 |
0,00 |
0,00 |
5,050000 |
5,050000 |
iShares MSCI Europe Quality Div UCITS ETF EUR(D) |
EUR |
5,411500 |
541 494 803,49 |
0,00 |
0,00 |
5,411500 |
5,411500 |
iShares Automation & Robotics UCITS ETF USD (A) |
USD |
11,737700 |
3 158 464 419,25 |
0,00 |
0,00 |
11,737700 |
11,737700 |
iShares Healthcare Innovation UCITS ETF USD (A) |
USD |
6,744000 |
1 041 961 573,44 |
0,00 |
0,00 |
6,744000 |
6,744000 |
iShares € Corp Bond ESG UCITS ETF EUR (D) |
EUR |
4,519300 |
3 670 209 977,50 |
0,00 |
0,00 |
4,519300 |
4,519300 |
iShares € Corp Bond 0-3yr ESG UCITS ETF |
EUR |
4,839000 |
3 151 700 067,68 |
0,00 |
0,00 |
4,839000 |
4,839000 |
iShares $ Corp Bond 0-3yr ESG UCITS ETF USD (D) |
USD |
4,888700 |
388 186 568,39 |
0,00 |
0,00 |
4,888700 |
4,888700 |
iShares Edge MSCI Europe MF UCITS ETF EUR (A) |
EUR |
7,969400 |
177 415 405,45 |
0,00 |
0,00 |
7,969400 |
7,969400 |
iShares MSCI USA SRI UCITS ETF EUR Hedged (D) |
USD |
1 558,094800 |
498 015 413,02 |
0,00 |
0,00 |
1 558,094800 |
1 558,094800 |
iShares MSCI Japan SRI EUR Hedged UCITS ETF (A) |
EUR |
9,419900 |
162 494 343,90 |
0,00 |
0,00 |
9,419900 |
9,419900 |
iShares € Govt Bond Climate UCITS ETF EUR (A) |
EUR |
4,081600 |
1 359 713 683,55 |
0,00 |
0,00 |
4,081600 |
4,081600 |
iShares $ Dvlpmt Bank Bonds UCITS ETF EUR Hdg(A) |
EUR |
4,384400 |
213 100 252,42 |
0,00 |
0,00 |
4,384400 |
4,384400 |
iShares € Green Bond UCITS ETF EUR (D) |
EUR |
3,863300 |
89 071 705,84 |
0,00 |
0,00 |
3,863300 |
3,863300 |
iShares $ T-Bond 20+yr UCITS ETF EUR Hdg (D) |
EUR |
3,118800 |
1 195 135 727,53 |
0,00 |
0,00 |
3,118800 |
3,118800 |
iShares J.P. Morgan ESG $ EM Bond UCITS ETF |
USD |
3,945800 |
486 031 542,23 |
0,00 |
0,00 |
3,945800 |
3,945800 |
iShares MSCI Japan ESG Screened UCITS ETF |
USD |
5,931400 |
1 296 131 301,52 |
0,00 |
0,00 |
5,931400 |
5,931400 |
iShares $ Corp Bond ESG UCITS ETF |
EUR |
3,941000 |
885 101 583,45 |
0,00 |
0,00 |
3,941000 |
3,941000 |
iShares MSCI Japan ESG Enhanced UCITS ETF |
USD |
5,750400 |
575 198 749,83 |
0,00 |
0,00 |
5,750400 |
5,750400 |
iShares MSCI Europe ESG Enhanced UCITS ETF |
EUR |
6,066200 |
2 259 093 437,12 |
0,00 |
0,00 |
6,066200 |
6,066200 |
iShares MSCI USA ESG Enhanced UCITS ETF |
USD |
8,153000 |
7 684 525 068,15 |
0,00 |
0,00 |
8,153000 |
8,153000 |
iShares MSCI EMU SRI UCITS ETF |
EUR |
6,572100 |
51 390 105,78 |
0,00 |
0,00 |
6,572100 |
6,572100 |
iShares $ Ultrashort Bond ESG UCITS ETF |
USD |
5,121700 |
4 217 080,92 |
0,00 |
0,00 |
5,121700 |
5,121700 |
iShares € Ultrashort Bond ESG UCITS ETF |
EUR |
5,083900 |
328 986 875,58 |
0,00 |
0,00 |
5,083900 |
5,083900 |
iShares $ Corp Bond ESG UCITS ETF |
USD |
4,547700 |
754 697 174,54 |
0,00 |
0,00 |
4,547700 |
4,547700 |
iShares J.P. Morgan ESG $ EM Bond UCITS ETF |
EUR |
4,074100 |
404 884 308,00 |
0,00 |
0,00 |
4,074100 |
4,074100 |
iShares Edge MSCI USA Min Vol ESG UCITS ETF |
USD |
6,920900 |
688 635 664,63 |
0,00 |
0,00 |
6,920900 |
6,920900 |
iShares Edge MSCI World Min Vol ESG UCITS ETF |
USD |
6,338500 |
780 056 374,30 |
0,00 |
0,00 |
6,338500 |
6,338500 |
iShares Edge MSCI Europe Min Vol ESG UCITS ETF |
EUR |
6,587900 |
281 532 087,99 |
0,00 |
0,00 |
6,587900 |
6,587900 |
iShares € Govt Bond Climate UCITS ETF (D) |
EUR |
4,031400 |
104 328 734,58 |
0,00 |
0,00 |
4,031400 |
4,031400 |
iShares $Hgh Yld Corp Bond ESG UCITS ETF EUR Hdg |
EUR |
4,848200 |
210 812 677,20 |
0,00 |
0,00 |
4,848200 |
4,848200 |
iShares S&P 500 Paris-Aligned Climate UCITS ETF |
USD |
5,641700 |
193 443 734,21 |
0,00 |
0,00 |
5,641700 |
5,641700 |
iShares DJ Asia Pacific S Div 50 UCITS ETF (DE) |
EUR |
21,820000 |
259 118 565,67 |
0,00 |
0,00 |
22,256400 |
21,601800 |
iShares DJ Eurozone Sust Screen UCITS ETF (DE) |
EUR |
15,520000 |
139 787 115,24 |
0,00 |
0,00 |
15,830400 |
15,364800 |
iShares STOXX Eur 600 Oil & Gas UCITS ETF (DE) |
EUR |
36,270000 |
968 835 509,13 |
0,00 |
0,00 |
36,995400 |
35,907300 |
iShares STOXX Eur 600 Health Care UCITS ETF(DE) |
EUR |
103,430000 |
651 086 056,87 |
0,00 |
0,00 |
105,498600 |
102,395700 |
iShares STOXX Eur 600 Food & Bev UCITS ETF(DE) |
EUR |
71,230000 |
249 546 566,82 |
0,00 |
0,00 |
72,654600 |
70,517700 |
iShares STOXX Eur 600 Telecom UCITS ETF (DE) |
EUR |
18,450000 |
174 583 985,48 |
0,00 |
0,00 |
18,819000 |
18,265500 |
iShares STOXX Eur 600 Auto UCITS ETF (DE) |
EUR |
54,500000 |
113 555 146,63 |
0,00 |
0,00 |
55,590000 |
53,955000 |
iShares STOXX Glob Selct Div 100 UCITS ETF (DE) |
EUR |
25,890000 |
2 088 125 721,51 |
0,00 |
0,00 |
26,407800 |
25,631100 |
BGF Asian Dragon Fund Class A2 EUR |
EUR |
39,040000 |
677 030 322,21 |
0,00 |
0,00 |
39,059520 |
39,032192 |
BGF Asian Dragon Fund Class A2 USD |
USD |
42,700000 |
739 046 299,72 |
0,00 |
0,00 |
42,721350 |
42,691460 |
BGF Asian Dragon Fund Class E2 EUR |
EUR |
35,060000 |
677 030 322,21 |
0,00 |
0,00 |
35,070518 |
35,052988 |
BGF Asian Dragon Fund Class E2 USD |
USD |
38,350000 |
739 046 299,72 |
0,00 |
0,00 |
38,361505 |
38,342330 |
BGF Asian Tiger Bond Fund Class D2 USD |
USD |
12,560000 |
2 366 182 611,76 |
0,00 |
0,00 |
12,566280 |
12,557488 |
BGF Asian Tiger Bond Fund Class A2 USD |
USD |
37,000000 |
2 366 182 611,76 |
0,00 |
0,00 |
37,018500 |
36,992600 |
BGF Emerging Europe Fund Class A2 EUR |
EUR |
0,000000 |
0,00 |
0,00 |
0,00 |
0,000000 |
0,000000 |
BGF Emerging Markets Bond Fund Class A2 USD |
USD |
17,870000 |
1 087 026 185,94 |
0,00 |
0,00 |
17,878935 |
17,866426 |
BGF Euro Bond Fund Class A2 EUR |
EUR |
25,690000 |
1 893 010 124,20 |
0,00 |
0,00 |
25,702845 |
25,684862 |
BGF Euro Corporate Bond Fund Class A2 EUR |
EUR |
15,650000 |
2 657 656 024,79 |
0,00 |
0,00 |
15,657825 |
15,646870 |
BGF FI Global Opportunities Fund Class E2 EUR |
EUR |
12,600000 |
5 997 450 072,54 |
0,00 |
0,00 |
12,603780 |
12,597480 |
BGF FI Global Opportunities Fund Class A2 USD |
USD |
15,030000 |
6 546 816 499,18 |
0,00 |
0,00 |
15,037515 |
15,026994 |
BGF FI Global Opportunities Fund Class E2 USD |
USD |
13,780000 |
6 546 816 499,18 |
0,00 |
0,00 |
13,784134 |
13,777244 |
BGF Global Allocation Fund Class A2 USD |
USD |
69,460000 |
14 228 577 951,37 |
0,00 |
0,00 |
69,494730 |
69,446108 |
BGF Global Allocation Fund Class E2 EUR |
EUR |
57,000000 |
13 034 607 870,44 |
0,00 |
0,00 |
57,017100 |
56,988600 |
BGF Global Allocation Fund Class E2 USD |
USD |
62,350000 |
14 228 577 951,37 |
0,00 |
0,00 |
62,368705 |
62,337530 |
BGF Global Corporate Bond Fund Class A2 USD |
USD |
13,970000 |
874 811 996,49 |
0,00 |
0,00 |
13,976985 |
13,967206 |
BGF Global Equity Income Fund Class A2 USD |
USD |
21,490000 |
893 039 185,05 |
0,00 |
0,00 |
21,500745 |
21,485702 |
BGF Global High Yield Bond Fund Class A2 USD |
USD |
27,560000 |
1 598 837 365,98 |
0,00 |
0,00 |
27,573780 |
27,554488 |
BGF Global Multi-Asset Income Fund Class A2 USD |
USD |
14,580000 |
4 629 785 544,38 |
0,00 |
0,00 |
14,587290 |
14,577084 |
BGF Latin American Fund Class A2 USD |
USD |
73,120000 |
824 700 853,12 |
0,00 |
0,00 |
73,156560 |
73,105376 |
BGF Natural Res Growth & Inc Fund Class A2 USD |
USD |
12,580000 |
353 499 123,45 |
0,00 |
0,00 |
12,586290 |
12,577484 |
BGF Sustainable Energy Fund Class A2 EUR |
EUR |
14,250000 |
5 688 255 793,42 |
0,00 |
0,00 |
14,257125 |
14,247150 |
BGF Sustainable Energy Fund Class A2 USD |
USD |
15,590000 |
6 209 300 024,10 |
0,00 |
0,00 |
15,597795 |
15,586882 |
BGF Sustainable Energy Fund Class E2 EUR |
EUR |
12,740000 |
5 688 255 793,42 |
0,00 |
0,00 |
12,743822 |
12,737452 |
BGF Sustainable Energy Fund Class E2 USD |
USD |
13,940000 |
6 209 300 024,10 |
0,00 |
0,00 |
13,944182 |
13,937212 |
BGF US Basic Value Fund Class A2 USD |
USD |
113,950000 |
737 092 531,43 |
0,00 |
0,00 |
114,006975 |
113,927210 |
BGF US Dollar Short Dur Bond Fund Class A2 USD |
USD |
13,840000 |
1 583 300 544,85 |
0,00 |
0,00 |
13,846920 |
13,837232 |
BGF World Gold Fund Class A2 USD |
USD |
32,360000 |
3 855 007 112,90 |
0,00 |
0,00 |
32,376180 |
32,353528 |
BGF World Healthscience Fund Class A2 EUR |
EUR |
57,330000 |
11 783 668 462,06 |
0,00 |
0,00 |
57,358665 |
57,318534 |
BGF World Healthscience Fund Class A2 USD |
USD |
62,710000 |
12 863 052 493,18 |
0,00 |
0,00 |
62,741355 |
62,697458 |
BGF World Healthscience Fund Class E2 EUR |
EUR |
51,260000 |
11 783 668 462,06 |
0,00 |
0,00 |
51,275378 |
51,249748 |
BGF World Healthscience Fund Class E2 USD |
USD |
56,070000 |
12 863 052 493,18 |
0,00 |
0,00 |
56,086821 |
56,058786 |
BGF World Mining Fund Class A2 USD |
USD |
58,770000 |
5 028 725 264,74 |
0,00 |
0,00 |
58,799385 |
58,758246 |
BSF Fixed Income Strategies Fund Class E2 EUR |
EUR |
114,770000 |
2 303 609 735,26 |
0,00 |
0,00 |
114,804431 |
114,747046 |
BSF FI Strategies Fund Class A2 Hedged USD |
USD |
124,780000 |
2 514 620 387,01 |
0,00 |
0,00 |
124,842390 |
124,755044 |
BGF World Technology Fund Class A2 EUR |
EUR |
61,920000 |
9 233 235 779,55 |
0,00 |
0,00 |
61,950960 |
61,907616 |
BGF World Technology Fund Class A2 USD |
USD |
67,730000 |
10 079 000 176,96 |
0,00 |
0,00 |
67,763865 |
67,716454 |
BGF World Technology Fund Class E2 EUR |
EUR |
55,860000 |
9 233 235 779,55 |
0,00 |
0,00 |
55,876758 |
55,848828 |
BGF World Technology Fund Class E2 USD |
USD |
61,100000 |
10 079 000 176,96 |
0,00 |
0,00 |
61,118330 |
61,087780 |
BGF Next Generation Technology Fund A2 EUR Hdg |
EUR |
13,420000 |
2 194 702 132,32 |
0,00 |
0,00 |
13,426710 |
13,417316 |
BGF Next Generation Technology Fund A2 USD |
USD |
15,480000 |
2 395 736 847,64 |
0,00 |
0,00 |
15,487740 |
15,476904 |
BGF Next Generation Technology Fund E2 EUR |
EUR |
18,760000 |
2 194 702 132,32 |
0,00 |
0,00 |
18,765628 |
18,756248 |
BGF Future Of Transport Fund A2 EUR Hedged |
EUR |
11,650000 |
1 430 526 413,18 |
0,00 |
0,00 |
11,655825 |
11,647670 |
BGF Future Of Transport Fund A2 USD |
USD |
13,470000 |
1 561 562 632,63 |
0,00 |
0,00 |
13,476735 |
13,467306 |
BGF Future of Transport Fund E2 EUR |
EUR |
15,820000 |
1 430 526 413,18 |
0,00 |
0,00 |
15,824746 |
15,816836 |
BGF Circular Economy Class A2 EUR |
EUR |
11,140000 |
1 388 921 397,94 |
0,00 |
0,00 |
11,145570 |
11,137772 |
BGF Circular Economy Class A2 USD |
USD |
12,190000 |
1 516 146 597,99 |
0,00 |
0,00 |
12,196095 |
12,187562 |
BGF Circular Economy Class E2 EUR |
EUR |
10,910000 |
1 388 921 397,94 |
0,00 |
0,00 |
10,913273 |
10,907818 |
BGF Circular Economy Class E2 USD |
USD |
11,940000 |
1 516 146 597,99 |
0,00 |
0,00 |
11,943582 |
11,937612 |
BGF Multi-Theme Equity Fund Class A2 EUR |
EUR |
11,040000 |
156 597 978,14 |
0,00 |
0,00 |
11,045520 |
11,037792 |
BGF Multi-Theme Equity Fund Class A2 USD |
USD |
12,070000 |
170 942 352,94 |
0,00 |
0,00 |
12,076035 |
12,067586 |
BGF Multi-Theme Equity Fund Class E2 EUR |
EUR |
12,280000 |
156 597 978,14 |
0,00 |
0,00 |
12,283684 |
12,277544 |
BGF China Bond Fund A2 EUR |
EUR |
12,730000 |
2 981 934 014,78 |
0,00 |
0,00 |
12,736365 |
12,727454 |
BGF China Bond Fund A2 USD |
USD |
13,920000 |
3 255 079 170,54 |
0,00 |
0,00 |
13,926960 |
13,917216 |
BGF China Bond Fund E2 EUR |
EUR |
15,540000 |
2 981 934 014,78 |
0,00 |
0,00 |
15,544662 |
15,536892 |
BSF Man Index Prtf - Defensive Class A2 EUR |
EUR |
99,280000 |
144 079 272,85 |
0,00 |
0,00 |
99,329640 |
99,260144 |
BSF Man Index Prtf - Defensive Class A2 Hdg USD |
USD |
116,400000 |
157 276 934,24 |
0,00 |
0,00 |
116,458200 |
116,376720 |
BSF BlackRock Man Index Prtf - Def E2 EUR |
EUR |
88,180000 |
144 079 272,85 |
0,00 |
0,00 |
88,206454 |
88,162364 |
BSF - BlackRock Man Index Prtf Cons Class A2 |
EUR |
101,490000 |
95 192 292,68 |
0,00 |
0,00 |
101,540745 |
101,469702 |
BSF - BlackRock Man Index Prtf Cons Cl A2 Hdg |
USD |
113,980000 |
103 911 906,69 |
0,00 |
0,00 |
114,036990 |
113,957204 |
BSF BlackRock Man Index Prtf - Cons E2 EUR |
EUR |
95,050000 |
95 192 292,68 |
0,00 |
0,00 |
95,078515 |
95,030990 |
BSF Man Index Prtf - Moderate Class A2 EUR |
EUR |
119,680000 |
653 520 997,79 |
0,00 |
0,00 |
119,739840 |
119,656064 |
BSF Man Index Prtf - Moderate Class A2 Hdg USD |
USD |
147,500000 |
713 383 521,19 |
0,00 |
0,00 |
147,573750 |
147,470500 |
BSF BlackRock Man Index Prtf - Moderate E2 EUR |
EUR |
99,040000 |
653 520 997,79 |
0,00 |
0,00 |
99,069712 |
99,020192 |
BSF Man Index Prtf - Growth Class A2 EUR |
EUR |
139,640000 |
489 463 740,40 |
0,00 |
0,00 |
139,709820 |
139,612072 |
BSF Man Index Prtf - Growth Class A2 Hdg USD |
USD |
177,530000 |
534 298 619,02 |
0,00 |
0,00 |
177,618765 |
177,494494 |
BSF BlackRock Man Index Prtf - Growth E2 EUR |
EUR |
110,640000 |
489 463 740,40 |
0,00 |
0,00 |
110,673192 |
110,617872 |
BGF ESG FI Global Opportunities Fund A2 EUR |
EUR |
9,570000 |
515 518 516,62 |
0,00 |
0,00 |
9,574785 |
9,568086 |
BGF ESG FI Global Opportunities Fund E2 EUR |
EUR |
9,390000 |
515 518 516,62 |
0,00 |
0,00 |
9,392817 |
9,388122 |
BSF ESG Euro Corporate Bond Fund A2 EUR |
EUR |
90,830000 |
244 789 626,87 |
0,00 |
0,00 |
90,875415 |
90,811834 |
BSF ESG Euro Corporate Bond Fund E2 EUR |
EUR |
88,030000 |
244 789 626,87 |
0,00 |
0,00 |
88,056409 |
88,012394 |
BGF ESG Multi-Asset Fund Class A2 EUR |
EUR |
17,690000 |
5 537 892 475,37 |
0,00 |
0,00 |
17,698845 |
17,686462 |
BGF ESG Multi-Asset Fund Class A2 USD Hedged |
USD |
48,340000 |
6 045 163 426,11 |
0,00 |
0,00 |
48,364170 |
48,330332 |
BGF ESG Multi-Asset Fund Class E2 EUR |
EUR |
15,650000 |
5 537 892 475,37 |
0,00 |
0,00 |
15,654695 |
15,646870 |
BGF ESG Multi-Asset Fund Class E2 USD Hedged |
USD |
42,730000 |
6 045 163 426,11 |
0,00 |
0,00 |
42,742819 |
42,721454 |
BSF European Absolute Return Fund Class A2 EUR |
EUR |
154,330000 |
936 293 927,31 |
0,00 |
0,00 |
154,407165 |
154,299134 |
BSF European Absolute Return Fund Class E2 EUR |
EUR |
145,430000 |
936 293 927,31 |
0,00 |
0,00 |
145,473629 |
145,400914 |
BSF Global Event Driven Fund Class A2 Hdg EUR |
EUR |
109,680000 |
2 521 898 347,00 |
0,00 |
0,00 |
109,734840 |
109,658064 |
BSF Global Event Driven Fund Class A2 USD |
USD |
130,830000 |
2 752 904 235,58 |
0,00 |
0,00 |
130,895415 |
130,803834 |
BSF Global Event Driven Fund Class E2 EUR |
EUR |
132,610000 |
2 521 898 347,00 |
0,00 |
0,00 |
132,649783 |
132,583478 |
BSF Emerging Companies AR Fund A2 EUR Hdg |
EUR |
109,810000 |
303 998 392,30 |
0,00 |
0,00 |
109,864905 |
109,788038 |
BSF Emerging Companies AR Fund A2 USD Hdg |
USD |
115,100000 |
331 844 645,04 |
0,00 |
0,00 |
115,157550 |
115,076980 |
BSF Global Equity AR Fund A4 EUR Hdg |
EUR |
94,810000 |
27 247 955,05 |
0,00 |
0,00 |
94,857405 |
94,791038 |
BSF Global Equity AR Fund E2 EUR |
EUR |
106,710000 |
29 743 867,73 |
0,00 |
0,00 |
106,742013 |
106,688658 |
iShares Digitalisation UCITS ETF USD (D) |
USD |
7,887800 |
974 149 526,42 |
0,00 |
0,00 |
7,887800 |
7,887800 |
iShares Digital Security UCITS ETF USD (A) |
USD |
7,137800 |
1 314 210 717,74 |
0,00 |
0,00 |
7,137800 |
7,137800 |
iShares MSCI World IT Sector ESG UCITS ETF |
USD |
10,430400 |
359 851 940,13 |
0,00 |
0,00 |
10,430400 |
10,430400 |
iShares Diversified Commodity Swap ETF (DE) |
EUR |
24,630000 |
348 897 683,73 |
0,00 |
0,00 |
25,122600 |
24,383700 |
BSF Managed Index Portfolios Defensive Agg-D5 |
EUR |
93,480000 |
144 079 272,85 |
0,00 |
0,00 |
98,154000 |
93,480000 |
BSF Managed Index Portfolios Defensive Agg-D2 |
EUR |
104,910000 |
144 079 272,85 |
0,00 |
0,00 |
110,155500 |
104,910000 |
BSF Managed Index Portfolios Conservative Agg-D5 |
EUR |
101,840000 |
95 192 292,68 |
0,00 |
0,00 |
106,932000 |
101,840000 |
BSF Managed Index Portfolios Conservative Agg-D2 |
EUR |
105,310000 |
95 192 292,68 |
0,00 |
0,00 |
110,575500 |
105,310000 |
BSF Managed Index Portfolios Moderate Agg-D5 |
EUR |
116,060000 |
653 520 997,79 |
0,00 |
0,00 |
121,863000 |
116,060000 |
BSF Managed Index Portfolios Moderate Agg-D2 |
EUR |
131,240000 |
653 520 997,79 |
0,00 |
0,00 |
137,802000 |
131,240000 |
BSF Managed Index Portfolios Growth Agg-D5 |
EUR |
139,060000 |
489 463 740,40 |
0,00 |
0,00 |
146,013000 |
139,060000 |
BSF Managed Index Portfolios Growth Agg-D2 |
EUR |
157,150000 |
489 463 740,40 |
0,00 |
0,00 |
165,007500 |
157,150000 |
iShares $ Tips 0-5 UCITS ETF USD (D) |
USD |
4,963600 |
440 231 083,72 |
0,00 |
0,00 |
4,963600 |
4,963600 |
iShares $ T-Bond 7-10yr UCITS ETF EUR Hdg (D) |
EUR |
3,991500 |
1 993 932 813,02 |
0,00 |
0,00 |
3,991500 |
3,991500 |
iShares $ T-Bond 7-10yr UCITS ETF USD (D) |
USD |
167,434700 |
4 460 837 312,97 |
0,00 |
0,00 |
167,434700 |
167,434700 |
iShares £ Index-Linked Gilts UCITS ETF GBP (D) |
GBP |
12,907900 |
723 777 422,50 |
0,00 |
0,00 |
12,907900 |
12,907900 |
iShares € HY Corp Bond ESG UCITS ETF EUR (D) |
EUR |
4,324300 |
214 377 686,44 |
0,00 |
0,00 |
4,324300 |
4,324300 |
iShares Core UK Gilts UCITS ETF GBP (D) |
GBP |
9,959800 |
2 199 480 125,95 |
0,00 |
0,00 |
9,959800 |
9,959800 |
iShares USD Devlp Bank Bonds UCITS ETF USD (A) |
USD |
4,870500 |
138 946 947,89 |
0,00 |
0,00 |
4,870500 |
4,870500 |
iShares $ T-Bond 20+yr UCITS ETF USD (D) |
USD |
3,359600 |
1 687 657 087,90 |
0,00 |
0,00 |
3,359600 |
3,359600 |
iShares £ Ultrashort Bond ESG UCITS ETF GBP (D) |
GBP |
5,113100 |
114 208 161,44 |
0,00 |
0,00 |
5,113100 |
5,113100 |
iShares China CNY Bond UCITS ETF EUR Hdg (A) |
EUR |
5,362300 |
89 503 867,38 |
0,00 |
0,00 |
5,362300 |
5,362300 |
iShares China CNY Bond UCITS ETF USD (A) |
USD |
5,505600 |
617 962 117,76 |
0,00 |
0,00 |
5,505600 |
5,505600 |
iShares Edge MSCI Europe M-factor UCITS EUR(D) |
EUR |
5,752300 |
3 403 494,13 |
0,00 |
0,00 |
5,752300 |
5,752300 |
iShares E-Vehicles and Driving Tec UCITS USD(A) |
USD |
6,971300 |
735 481 340,64 |
0,00 |
0,00 |
6,971300 |
6,971300 |
iShares Fallen Angels HY UCITS EUR Hdg(D) |
EUR |
4,605900 |
256 565 325,80 |
0,00 |
0,00 |
4,605900 |
4,605900 |
iShares Fallen Angels HY UCITS USD (A) |
USD |
6,101600 |
176 314 828,62 |
0,00 |
0,00 |
6,101600 |
6,101600 |
iShares MSCI USA ESG Enh UCITS ETF EUR Hdg |
EUR |
4,864700 |
99 916 718,79 |
0,00 |
0,00 |
4,864700 |
4,864700 |
iShares Refinitiv Incl and Divers UCITS USD(A) |
USD |
6,996600 |
62 969 711,64 |
0,00 |
0,00 |
6,996600 |
6,996600 |
iShares Smart City Infrastructure UCITS USD (A) |
USD |
6,414600 |
269 381 306,45 |
0,00 |
0,00 |
6,414600 |
6,414600 |
iShares $ T-Bond 0-1yr UCITS ETF USD (A) |
USD |
107,642000 |
7 949 730 539,46 |
0,00 |
0,00 |
107,642000 |
107,642000 |
iShares $ T-Bond 1-3yr UCITS ETF EUR Hdg (A) |
EUR |
4,760600 |
2 023 238 282,39 |
0,00 |
0,00 |
4,760600 |
4,760600 |
iShares $ T-Bond 1-3yr UCITS ETF USD (A) |
USD |
5,313400 |
3 662 586 771,84 |
0,00 |
0,00 |
5,313400 |
5,313400 |
iShares $ T-Bond 1-3yr UCITS ETF USD (D) |
USD |
126,441700 |
3 817 070 579,03 |
0,00 |
0,00 |
126,441700 |
126,441700 |
iShares Enh Roll Yield Com Swap UCITS USD(A) |
USD |
7,138100 |
1 192 957 196,15 |
0,00 |
0,00 |
7,138100 |
7,138100 |
iShares $ T-Bond 7-10 yr UCITS ETF USD (A) |
USD |
136,477800 |
3 648 160 755,74 |
0,00 |
0,00 |
136,477800 |
136,477800 |
BGF Multi-Theme Equity Fund Class D2 USD |
USD |
12,350000 |
170 942 352,94 |
0,00 |
0,00 |
12,967500 |
12,350000 |
BGF Multi-Theme Equity Fund Class D2 EUR |
EUR |
11,290000 |
156 597 978,14 |
0,00 |
0,00 |
11,854500 |
11,290000 |
BlackRock Global Impact Fund USD (A) |
USD |
119,089500 |
30 691 018,50 |
0,00 |
0,00 |
119,089500 |
119,089500 |
BR Global HY ESG and Credit Scrnd Fund USD (A) |
USD |
112,535700 |
2 292 960,58 |
0,00 |
0,00 |
112,535700 |
112,535700 |
iShares MSCI EM Small Cap UCITS ETF USD (D) |
USD |
82,554800 |
314 121 239,20 |
0,00 |
0,00 |
82,554800 |
82,554800 |
iShares MSCI Japan Small Cap UCITS ETF USD (D) |
USD |
38,176900 |
254 005 529,63 |
0,00 |
0,00 |
38,176900 |
38,176900 |
iShares MSCI Japan UCITS ETF USD (A) |
USD |
175,575000 |
479 727 604,63 |
0,00 |
0,00 |
175,575000 |
175,575000 |
iShares Ageing Population UCITS ETF |
USD |
6,398100 |
652 611 934,02 |
0,00 |
0,00 |
6,398100 |
6,398100 |
iShares Agribusiness UCITS ETF |
USD |
43,781300 |
564 779 074,23 |
0,00 |
0,00 |
43,781300 |
43,781300 |
iShares MSCI EM Consumer Growth UCITS ETF |
USD |
29,822600 |
83 503 296,94 |
0,00 |
0,00 |
29,822600 |
29,822600 |
iShares Global Timber & Forestry UCITS ETF |
USD |
26,562300 |
156 721 928,10 |
0,00 |
0,00 |
26,562300 |
26,562300 |
iShares MSCI USA Small Cap UCITS ETF (A) |
USD |
434,187300 |
1 280 163 978,90 |
0,00 |
0,00 |
434,187300 |
434,187300 |
iShares MSCI EMU Small Cap UCITS ETF (A) |
EUR |
252,979500 |
531 350 123,39 |
0,00 |
0,00 |
252,979500 |
252,979500 |
iShares Dow Jones Industrial Average UCITS (A) |
USD |
417,696700 |
1 078 491 023,37 |
0,00 |
0,00 |
417,696700 |
417,696700 |
iShares MSCI World Small Cap UCITS ETF USD (A) |
USD |
6,350600 |
3 134 037 881,03 |
0,00 |
0,00 |
6,350600 |
6,350600 |
iShares MSCI World SRI UCITS ETF EUR (A) |
EUR |
9,605400 |
5 978 523 978,12 |
0,00 |
0,00 |
9,605400 |
9,605400 |
iShares MSCI Poland UCITS ETF |
USD |
18,741900 |
118 074 249,24 |
0,00 |
0,00 |
18,741900 |
18,741900 |
BlackRock ESG Multi-Asset Cons Portf UCITS ETF |
EUR |
4,641100 |
13 045 851,21 |
0,00 |
0,00 |
4,641100 |
4,641100 |
BlackRock ESG Multi-Asset Moderate Portf ETF |
EUR |
5,217200 |
21 005 023,69 |
0,00 |
0,00 |
5,217200 |
5,217200 |
BlackRock ESG Multi-Asset Growth Portf ETF |
EUR |
5,592900 |
40 618 066,61 |
0,00 |
0,00 |
5,592900 |
5,592900 |
iShares MSCI EMU Paris-Aligned Climate ETF |
EUR |
4,756400 |
1 254 762,71 |
0,00 |
0,00 |
4,756400 |
4,756400 |
iShares MSCI World Paris-Aligned Climate ETF |
USD |
5,236900 |
63 202 921,81 |
0,00 |
0,00 |
5,236900 |
5,236900 |
iShares € Corp Bond ESG Paris-Aligned Climate |
EUR |
4,981300 |
28 384 359,94 |
0,00 |
0,00 |
4,981300 |
4,981300 |
iShares DAX® ESG UCITS ETF (DE) |
EUR |
5,180000 |
53 904 439,56 |
0,00 |
0,00 |
5,283600 |
5,128200 |
iShares iBond Dec 2026 Term $ Corp UCITS ETF(A) |
USD |
100,834200 |
51 024 947,52 |
0,00 |
0,00 |
100,834200 |
100,834200 |
iShares iBond Dec 2028 Term $ Corp UCITS ETF(A) |
EUR |
5,040700 |
149 566 611,04 |
0,00 |
0,00 |
5,040700 |
5,040700 |
iShares iBond Dec 2028 Term $ Corp UCITS ETF(A) |
USD |
100,296300 |
35 710 531,67 |
0,00 |
0,00 |
100,296300 |
100,296300 |
iShares iBond Dec 2028 Term € Corp UCITS ETF(A) |
EUR |
5,046400 |
48 719 305,28 |
0,00 |
0,00 |
5,046400 |
5,046400 |
Fidelity Funds - America Fund A-ACC-EUR |
EUR |
36,810000 |
319 531 336,10 |
4 533 317,15 |
4 533 317,15 |
38,742525 |
36,810000 |
FF - Asian Special Situations Fund A-ACC-EUR |
EUR |
37,700000 |
114 286 904,70 |
1 161 467,01 |
1 161 467,01 |
38,423840 |
37,700000 |
FF - Emerging Markets Fund A-DIST-EUR |
EUR |
13,960000 |
87 111 662,51 |
227 774,84 |
227 774,84 |
14,692900 |
13,960000 |
FF - Sustainable Europe Eqt Fund A-ACC-EUR |
EUR |
16,880000 |
77 654 688,38 |
300 364,28 |
300 364,28 |
17,766200 |
16,880000 |
Fidelity Funds - Euro Bond Fund A-ACC-EUR |
EUR |
14,040000 |
267 541 599,00 |
477 790,97 |
477 790,97 |
14,531400 |
14,040000 |
FF - Sustainable Eurozone Eqt Fund A-ACC-EUR |
EUR |
22,710000 |
292 702 706,10 |
3 268 665,28 |
3 268 665,28 |
23,902275 |
22,710000 |
FF - European High Yield Fund A-DIST-EUR |
EUR |
8,617000 |
194 138 731,70 |
1 345 111,61 |
1 345 111,61 |
8,918595 |
8,617000 |
FF - Global Dividend Fund A-ACC-EUR (hedged) |
EUR |
25,410000 |
984 785 209,30 |
11 877 592,80 |
11 877 592,80 |
26,744025 |
25,410000 |
Fidelity Funds - Global Focus Fund A-DIST-EUR |
EUR |
97,660000 |
92 659 624,38 |
122 755,31 |
122 755,31 |
102,787150 |
97,660000 |
FF - Global Health Care Fund A-ACC-EUR |
EUR |
39,850000 |
431 295 899,80 |
2 129 529,04 |
2 129 529,04 |
41,942125 |
39,850000 |
FF - Global M-A Income Fund A-QINC(G)-EUR (hdg) |
EUR |
6,827000 |
627 786 309,80 |
1 821 511,16 |
1 821 511,16 |
7,065945 |
6,827000 |
FF - Global Opportunities Fund A-ACC-EUR |
EUR |
28,580000 |
40 906 565,28 |
387 826,89 |
387 826,89 |
30,080450 |
28,580000 |
FF - Global Technology Fund A-DIST-EUR |
EUR |
54,850000 |
7 426 098 827,00 |
780 281,60 |
780 281,60 |
57,729625 |
54,850000 |
Fidelity Funds - China Consumer Fund A-ACC-EUR |
EUR |
17,850000 |
991 767 705,60 |
3 166 306,44 |
3 166 306,44 |
18,787125 |
17,850000 |
Fidelity Funds - Italy Fund A-ACC-EUR |
EUR |
20,810000 |
55 829 438,07 |
43 350,26 |
43 350,26 |
21,902525 |
20,810000 |
FF - Japan Value Fund A-DIST-EUR (hedged) |
EUR |
31,480000 |
34 319 381,70 |
712 118,89 |
712 118,89 |
33,132700 |
31,480000 |
Fidelity Funds - Latin America Fund A-DIST-USD |
USD |
31,330000 |
277 102 524,50 |
8 557 786,89 |
8 557 786,89 |
32,974825 |
31,330000 |
Fidelity Funds - Pacific Fund A-DIST-USD |
USD |
36,560000 |
480 924 930,30 |
7 758 567,63 |
7 758 567,63 |
38,479400 |
36,560000 |
Fidelity Funds - US High Yield Fund A-DIST-EUR |
EUR |
8,239000 |
32 915 590,77 |
899 869,78 |
899 869,78 |
8,527365 |
8,239000 |
FF - Sustainable Global Div+Fund A-DIST-EUR |
EUR |
9,787000 |
54 827 402,92 |
2 379 254,35 |
2 379 254,35 |
10,300818 |
9,787000 |
Invesco Euro Bond Fund - A (Accumulation) EUR |
EUR |
6,828700 |
177 367 228,00 |
0,00 |
0,00 |
7,170135 |
6,828700 |
Invesco Euro Equity Fund - A (Accumulation) EUR |
EUR |
164,810000 |
181 949 140,90 |
0,00 |
0,00 |
173,050500 |
164,810000 |
Invesco Global Income Fund - A (Acc) EUR |
EUR |
13,809400 |
317 347 232,80 |
0,00 |
0,00 |
14,499870 |
13,809400 |
Invesco Global Income Fund - A (Dis-GI) EUR |
EUR |
9,714900 |
20 551 253,45 |
0,00 |
0,00 |
10,200645 |
9,714900 |
Invesco Global Leisure Fund - A (Acc) USD |
USD |
57,720000 |
1 239 570 134,00 |
0,00 |
0,00 |
60,606000 |
57,720000 |
Invesco Global Leisure Fund - A (EUR Hdg) Acc |
EUR |
10,240000 |
136 668 396,90 |
0,00 |
0,00 |
10,752000 |
10,240000 |
Invesco Pan European High Inc Fund - A (Acc) EUR |
EUR |
23,480000 |
1 858 460 359,00 |
0,00 |
0,00 |
24,654000 |
23,480000 |
Invesco Pan European High Inc Fund - A (Dis) EUR |
EUR |
12,990000 |
45 144 429,96 |
0,00 |
0,00 |
13,639500 |
12,990000 |
Invesco Sust Pan Eur Str Eq A Acc |
EUR |
21,590000 |
395 043 824,90 |
0,00 |
0,00 |
22,669500 |
21,590000 |
Invesco Glob Consumer Trends A (CHF Hgd)-Acc |
CHF |
9,520000 |
626 822,88 |
0,00 |
0,00 |
9,996000 |
9,520000 |
Invesco Glob Consumer Trends A (GBP Hgd)-Acc |
GBP |
6,910000 |
963 873,68 |
0,00 |
0,00 |
7,255500 |
6,910000 |
Invesco Glob Consumer Trends P1 (CHF Hgd)-Acc |
CHF |
6,840000 |
2 411 452,33 |
0,00 |
0,00 |
6,840000 |
6,840000 |
Invesco Glob Consumer Trends P1 (EUR Hgd)-Acc |
EUR |
6,940000 |
2 921 833,99 |
0,00 |
0,00 |
6,940000 |
6,940000 |
Invesco Glob Consumer Trends P1 (GBP Hgd)-Acc |
GBP |
7,190000 |
2 270 991,32 |
0,00 |
0,00 |
7,190000 |
7,190000 |
Invesco Glob Consumer Trends P1 (GBP Hgd)-AD |
GBP |
7,150000 |
376 660,69 |
0,00 |
0,00 |
7,150000 |
7,150000 |
Invesco Glob Consumer Trends P1 -Acc |
USD |
7,600000 |
16 503 370,08 |
0,00 |
0,00 |
7,600000 |
7,600000 |
Invesco Glob Consumer Trends P1 -AD |
USD |
7,570000 |
949 946,23 |
0,00 |
0,00 |
7,570000 |
7,570000 |
Invesco Glob Consumer Trends PI1 (CHF Hgd)-Acc |
CHF |
6,860000 |
6 264,01 |
0,00 |
0,00 |
6,860000 |
6,860000 |
Invesco Glob Consumer Trends PI1 (EUR Hgd)-Acc |
EUR |
6,940000 |
5 940,21 |
0,00 |
0,00 |
6,940000 |
6,940000 |
Invesco Glob Consumer Trends PI1 (EUR Hgd)-AD |
EUR |
6,920000 |
5 952,95 |
0,00 |
0,00 |
6,920000 |
6,920000 |
Invesco Glob Consumer Trends PI1 (GBP Hgd)-Acc |
GBP |
7,190000 |
5 548,54 |
0,00 |
0,00 |
7,190000 |
7,190000 |
Invesco Glob Consumer Trends PI1 (GBP Hgd)-AD |
GBP |
7,150000 |
5 550,37 |
0,00 |
0,00 |
7,150000 |
7,150000 |
Invesco Glob Consumer Trends PI1 -Acc |
USD |
7,610000 |
5 327,87 |
0,00 |
0,00 |
7,610000 |
7,610000 |
Invesco Glob Consumer Trends PI1 -AD |
USD |
7,580000 |
5 329,32 |
0,00 |
0,00 |
7,580000 |
7,580000 |
Invesco Metaverse Fund Class A Acc EUR |
EUR |
11,640000 |
8 365 490,19 |
0,00 |
0,00 |
12,222000 |
11,640000 |
GOLDSIDE Real Estate Fund, o.p.f. |
EUR |
0,117633 |
93 231,90 |
93 231,90 |
93 231,90 |
0,119986 |
0,116457 |
The Royal Invest Micro Fund Slovakia |
EUR |
0,100000 |
6 790,00 |
6 790,00 |
6 790,00 |
0,103000 |
0,099000 |
Fio globální akciový fond - Třída CZK |
CZK |
1,565900 |
935 709 704,36 |
0,00 |
0,00 |
1,565900 |
1,518923 |
Fio globální akciový fond - Třída EUR |
EUR |
1,080300 |
9 039 037,30 |
0,00 |
0,00 |
1,080300 |
1,047891 |
PARTNERS Fond realitných investícií, o.p.f. |
EUR |
1,067029 |
111 421 214,52 |
111 421 214,52 |
111 421 214,52 |
1,093705 |
1,035018 |
PARTNERS Fond krátkodobých investícií, o.p.f. |
EUR |
1,004785 |
3 643 791,40 |
3 643 791,40 |
3 643 791,40 |
1,004785 |
1,004785 |
Wood & Company Office Podfond |
EUR |
1,929200 |
226 210 000,00 |
0,00 |
0,00 |
1,987076 |
1,871324 |
Wood & Company Retail Podfond |
EUR |
2,688600 |
103 910 000,00 |
0,00 |
0,00 |
2,769258 |
2,607942 |
J&T BOND EUR zmiešaný |
EUR |
1,488344 |
349 990 628,60 |
349 990 628,60 |
344 534 115,40 |
1,532994 |
1,488344 |
J&T SELECT zmiešaný |
EUR |
1,178275 |
20 528 784,93 |
20 528 784,93 |
20 528 784,93 |
1,213623 |
1,178275 |
J&T PROFIT EUR zmiešaný |
EUR |
1,007709 |
15 334 940,83 |
15 334 940,83 |
15 334 940,83 |
1,037940 |
1,007709 |
J&T INDEX EUR akciový o.p.f. |
EUR |
1,019999 |
2 843 965,42 |
2 843 965,42 |
2 843 965,42 |
1,050599 |
1,009799 |