Danske Invest
Globale Virksomhedsobligationer, klasse DKK W d h
| Investering | % | Type | Valuta | Land | Fondskode |
|---|---|---|---|---|---|
| ING GROEP NV 23.05.2029 | 000000000000001.781,78% | Obligationer | EUR | Holland | XS2624976077 |
| DEUTSCHE BANK AG 05.09.2030 | 000000000000001.501,50% | Obligationer | EUR | Tyskland | DE000A30VT06 |
| TOTALENERGIES SE PERP | 000000000000001.141,14% | Obligationer | EUR | Frankrig | XS2290960520 |
| SARTORIUS FINANCE BV 4.375% 14.09.2029 | 000000000000001.101,10% | Obligationer | EUR | Holland | XS2676395077 |
| AYVENS SA 3.875% 24.01.2028 | 000000000000001.071,07% | Obligationer | EUR | Frankrig | FR001400NC70 |
| BPCE SA 08.03.2033 | 000000000000001.061,06% | Obligationer | EUR | Frankrig | FR001400OIX5 |
| TEOLLISUUDEN VOIMA OYJ 4.75% 01.06.2030 | 000000000000001.051,05% | Obligationer | EUR | Finland | XS2625194225 |
| NETFLIX INC 3.625% 15.06.2030 | 000000000000000.980,98% | Obligationer | EUR | USA | XS2072829794 |
| LEG IMMOBILIEN SE 0.875% 17.01.2029 | 000000000000000.980,98% | Obligationer | EUR | Tyskland | DE000A3MQNP4 |
| MORGAN STANLEY 07.11.2036 | 000000000000000.970,97% | Obligationer | EUR | USA | XS3215634901 |
| CAIXABANK SA 14.11.2030 | 000000000000000.950,95% | Obligationer | EUR | Spanien | XS2555187801 |
| JPMORGAN CHASE & CO 18.02.2032 | 000000000000000.950,95% | Obligationer | EUR | USA | XS3300349639 |
| SKANDINAVISKA ENSKILDA 27.11.2034 | 000000000000000.880,88% | Obligationer | EUR | Sverige | XS2774448521 |
| RCI BANQUE SA 3.875% 12.01.2029 | 000000000000000.880,88% | Obligationer | EUR | Frankrig | FR001400N3F1 |
| ROYAL BANK OF CANADA 03.08.2034 | 000000000000000.870,87% | Obligationer | EUR | Canada | XS3406773666 |
| SSE PLC PERP | 000000000000000.870,87% | Obligationer | EUR | Storbritannien | XS3095384809 |
| ERSTE GROUP BANK AG 26.06.2031 | 000000000000000.860,86% | Obligationer | EUR | Østrig | AT0000A3KDR1 |
| ENEL SPA PERP | 000000000000000.850,85% | Obligationer | EUR | Italien | XS2312744217 |
| TOTALENERGIES SE PERP | 000000000000000.780,78% | Obligationer | EUR | Frankrig | XS2432130610 |
| BANK OF IRELAND GROUP 13.11.2029 | 000000000000000.780,78% | Obligationer | EUR | Irland | XS2717301365 |
| BANK OF AMERICA CORP 30.10.2031 | 000000000000000.780,78% | Obligationer | EUR | USA | XS3217583049 |
| LOGICOR FINANCING SARL 1.625% 15.07.2027 | 000000000000000.750,75% | Obligationer | EUR | Luxembourg | XS2027364327 |
| BOOKING HOLDINGS INC 4.5% 15.11.2031 | 000000000000000.740,74% | Obligationer | EUR | USA | XS2555220941 |
| TOTALENERGIES SE PERP | 000000000000000.730,73% | Obligationer | EUR | Frankrig | XS2937308497 |
| NATWEST GROUP PLC 14.09.2029 | 000000000000000.730,73% | Obligationer | EUR | Storbritannien | XS2387060259 |
| ANGLO AMERICAN CAPITAL 4.125% 15.03.2032 | 000000000000000.710,71% | Obligationer | EUR | Storbritannien | XS2779901482 |
| MEDTRONIC GLOBAL HLDINGS 3.125% 15.10.2031 | 000000000000000.700,70% | Obligationer | EUR | Luxembourg | XS2535308634 |
| T-MOBILE USA INC 3.7% 08.05.2032 | 000000000000000.700,70% | Obligationer | EUR | USA | XS2746662936 |
| COMPASS GROUP PLC 3.25% 06.02.2031 | 000000000000000.690,69% | Obligationer | EUR | Storbritannien | XS2758114321 |
| BQ CANTONALE DE GENEVE 3.432% 07.07.2031 | 000000000000000.690,69% | Obligationer | EUR | Schweiz | CH1578978947 |
| BMW INTL INVESTMENT BV 3.5% 22.01.2033 | 000000000000000.670,67% | Obligationer | EUR | Holland | XS2982332319 |
| ENGIE SA 4% 01.07.2038 | 000000000000000.670,67% | Obligationer | EUR | Frankrig | FR0014019L22 |
| AUTOSTRADE PER L'ITALIA 2% 15.01.2030 | 000000000000000.670,67% | Obligationer | EUR | Italien | XS2278566299 |
| VERIZON COMMUNICATIONS 1.25% 08.04.2030 | 000000000000000.660,66% | Obligationer | EUR | USA | XS1979280937 |
| SAMPO OYJ 23.05.2049 | 000000000000000.650,65% | Obligationer | EUR | Finland | XS1995716211 |
| TAKEDA PHARMACEUTICAL 1.375% 09.07.2032 | 000000000000000.630,63% | Obligationer | EUR | Japan | XS2197349645 |
| NATWEST GROUP PLC 28.02.2034 | 000000000000000.560,56% | Obligationer | EUR | Storbritannien | XS2592628791 |
| UBS GROUP AG 01.03.2029 | 000000000000000.550,55% | Obligationer | EUR | Schweiz | CH1214797172 |
| AMPRION GMBH 3.971% 22.09.2032 | 000000000000000.540,54% | Obligationer | EUR | Tyskland | DE000A30VPM1 |
| RAIFFEISEN SCHWEIZ 03.09.2032 | 000000000000000.540,54% | Obligationer | EUR | Schweiz | CH1353015048 |
| MOTABILITY OPERATIONS GR 3.875% 24.01.2034 | 000000000000000.540,54% | Obligationer | EUR | Storbritannien | XS2742660660 |
| IBERDROLA FINANZAS SAU PERP | 000000000000000.540,54% | Obligationer | EUR | Spanien | XS2748213290 |
| VOLKSWAGEN BANK GMBH 4.375% 03.05.2028 | 000000000000000.530,53% | Obligationer | EUR | Tyskland | XS2617456582 |
| BANCO SANTANDER SA 3.75% 09.01.2034 | 000000000000000.530,53% | Obligationer | EUR | Spanien | XS2743029840 |
| AXA SA PERP | 000000000000000.530,53% | Obligationer | EUR | Frankrig | XS2737652474 |
| EUROGRID GMBH 3.279% 05.09.2031 | 000000000000000.530,53% | Obligationer | EUR | Tyskland | XS2527319979 |
| RAIFFEISEN BANK INTL 18.02.2032 | 000000000000000.520,52% | Obligationer | EUR | Østrig | XS3004031822 |
| VOLKSWAGEN INTL FIN NV PERP | 000000000000000.520,52% | Obligationer | EUR | Holland | XS1629774230 |
| MUNICH RE 26.05.2044 | 000000000000000.520,52% | Obligationer | EUR | Tyskland | XS2817890077 |
| BNP PARIBAS 31.03.2032 | 000000000000000.520,52% | Obligationer | EUR | Frankrig | FR0014009HA0 |
| COMMERZBANK AG 03.09.2031 | 000000000000000.510,51% | Obligationer | EUR | Tyskland | DE000CZ46CB5 |
| HSBC HOLDINGS PLC 12.05.2031 | 000000000000000.510,51% | Obligationer | EUR | Storbritannien | XS3367696047 |
| VOLKSWAGEN BANK GMBH 3.5% 19.06.2031 | 000000000000000.510,51% | Obligationer | EUR | Tyskland | XS3099830419 |
| GENERAL MILLS INC 16.07.2056 | 000000000000000.510,51% | Obligationer | EUR | USA | XS3328596179 |
| TESCO CORP TREASURY SERV 3.5% 13.10.2033 | 000000000000000.490,49% | Obligationer | EUR | Storbritannien | XS3201918409 |
| HANNOVER RE 09.10.2039 | 000000000000000.490,49% | Obligationer | EUR | Tyskland | XS2063350925 |
| LINDE PLC 3.75% 04.06.2044 | 000000000000000.480,48% | Obligationer | EUR | USA | XS2834282498 |
| COCA-COLA EUROPACIFIC 3.125% 25.09.2032 | 000000000000000.480,48% | Obligationer | EUR | Storbritannien | XS3186951219 |
| ENEL FINANCE INTL NV 3% 24.02.2031 | 000000000000000.480,48% | Obligationer | EUR | Holland | XS3008889092 |
| BRITISH TELECOMMUNICATIO 3.75% 13.05.2031 | 000000000000000.470,47% | Obligationer | EUR | Storbritannien | XS2582814039 |
| ASR NEDERLAND NV PERP | 000000000000000.470,47% | Obligationer | EUR | Holland | XS3011202655 |
| UBS GROUP AG 13.02.2031 | 000000000000000.450,45% | Obligationer | EUR | Schweiz | CH1512676888 |
| DNB BANK 3.00% 29.11.2030 | 000000000000000.450,45% | Obligationer | EUR | Norge | XS2950722616 |
| JYSKE BANK A/S 26.10.2028 | 000000000000000.450,45% | Obligationer | EUR | Danmark | XS2615271629 |
| ITALGAS SPA 2.875% 06.03.2030 | 000000000000000.440,44% | Obligationer | EUR | Italien | XS3009463996 |
| MAPLE PARENT HLDS CO 4.728% 26.03.2035 | 000000000000000.440,44% | Obligationer | EUR | USA | XS3320665444 |
| CARLSBERG BREWERIES A/S 3% 28.08.2029 | 000000000000000.440,44% | Obligationer | EUR | Danmark | XS3002418914 |
| EXPERIAN FINANCE PLC 3.375% 10.10.2034 | 000000000000000.430,43% | Obligationer | EUR | Storbritannien | XS2896485930 |
| STORA ENSO OYJ 0.625% 02.12.2030 | 000000000000000.420,42% | Obligationer | EUR | Finland | XS2265360359 |
| WOOLWORTHS GROUP LTD 3.75% 25.10.2032 | 000000000000000.410,41% | Obligationer | EUR | Australien | XS2902763494 |
| VERISURE HOLDING AB 5.5% 15.05.2030 | 000000000000000.410,41% | Obligationer | EUR | Sverige | XS2816753979 |
| AIB GROUP PLC 26.03.2036 | 000000000000000.410,41% | Obligationer | EUR | Irland | XS3035911760 |
| VERIZON COMMUNICATIONS 1.875% 26.10.2029 | 000000000000000.400,40% | Obligationer | EUR | USA | XS1708167652 |
| MIZUHO FINANCIAL GROUP 16.05.2032 | 000000000000000.400,40% | Obligationer | EUR | Japan | XS3293638568 |
| TOTALENERGIES SE PERP | 000000000000000.400,40% | Obligationer | EUR | Frankrig | XS3305214903 |
| GXO LOGISTICS CA 3.75% 24.11.2030 | 000000000000000.400,40% | Obligationer | EUR | Holland | XS3238162716 |
| COMMERZBANK AG PERP | 000000000000000.400,40% | Obligationer | EUR | Tyskland | DE000CZ45WB5 |
| ASTM SPA 3.375% 16.02.2032 | 000000000000000.400,40% | Obligationer | EUR | Italien | XS3203027654 |
| PARKER-HANNIFIN CORP 2.9% 01.03.2030 | 000000000000000.390,39% | Obligationer | EUR | USA | XS2986378714 |
| COCA-COLA EUROPACIFIC 3.125% 03.06.2031 | 000000000000000.390,39% | Obligationer | EUR | Storbritannien | XS3085615428 |
| SCOTTISH HYDRO ELECTRIC 3.375% 04.09.2032 | 000000000000000.380,38% | Obligationer | EUR | Storbritannien | XS2894895684 |
| AMCOR UK FINANCE PLC 3.75% 20.02.2033 | 000000000000000.380,38% | Obligationer | EUR | Storbritannien | XS3229091015 |
| SWISS RE SUB FIN PLC 26.03.2033 | 000000000000000.370,37% | Obligationer | EUR | Storbritannien | XS3025207807 |
| AUTOSTRADE PER L'ITALIA 5.125% 14.06.2033 | 000000000000000.370,37% | Obligationer | EUR | Italien | XS2636745882 |
| CARLSBERG BREWERIES A/S 3.5% 28.02.2035 | 000000000000000.370,37% | Obligationer | EUR | Danmark | XS3002420902 |
| HAMBURG COMMERCIAL BANK 3.25% 03.02.2031 | 000000000000000.370,37% | Obligationer | EUR | Tyskland | DE000HCB0CL9 |
| WOLTERS KLUWER NV 3.375% 20.03.2032 | 000000000000000.370,37% | Obligationer | EUR | Holland | XS3019296840 |
| UBS GROUP AG 17.03.2032 | 000000000000000.370,37% | Obligationer | EUR | Schweiz | CH1255915014 |
| SCHAEFFLER AG 4.75% 14.08.2029 | 000000000000000.370,37% | Obligationer | EUR | Tyskland | DE000A3823S1 |
| NYKREDIT REALKREDIT 3.625% 24.07.2030 | 000000000000000.360,36% | Obligationer | EUR | Danmark | DK0030523030 |
| COMMERZBANK AG 25.03.2029 | 000000000000000.360,36% | Obligationer | EUR | Tyskland | DE000CZ439B6 |
| MORGAN STANLEY 23.01.2032 | 000000000000000.360,36% | Obligationer | EUR | USA | XS3281048499 |
| BANKINTER SA 03.05.2030 | 000000000000000.360,36% | Obligationer | EUR | Spanien | ES0213679OO6 |
| NORDDEUTSCHE LANDESBANK 10.12.2035 | 000000000000000.360,36% | Obligationer | EUR | Tyskland | XS3176776931 |
| SUMITOMO MITSUI FINL GRP 02.04.2034 | 000000000000000.360,36% | Obligationer | EUR | Japan | XS3320639100 |
| PRYSMIAN SPA 3.875% 28.11.2031 | 000000000000000.350,35% | Obligationer | EUR | Italien | XS2948434266 |
| ERSTE GROUP BANK AG 15.01.2035 | 000000000000000.350,35% | Obligationer | EUR | Østrig | AT0000A3FY07 |
| PERMANENT TSB GROUP 10.07.2030 | 000000000000000.350,35% | Obligationer | EUR | Irland | XS2797546624 |
| TRATON FINANCE LUX SA 3.375% 14.01.2028 | 000000000000000.350,35% | Obligationer | EUR | Luxembourg | DE000A3L69X8 |
| TENNET HOLDING BV PERP | 000000000000000.350,35% | Obligationer | EUR | Holland | XS2783604742 |
| LINEAGE EUROPE FINCO BV 4.125% 26.11.2031 | 000000000000000.350,35% | Obligationer | EUR | Holland | XS3260287894 |
| ZUERCHER KANTONALBANK 11.09.2031 | 000000000000000.350,35% | Obligationer | EUR | Schweiz | CH1471403852 |
| INFORMA PLC 3.625% 23.10.2034 | 000000000000000.350,35% | Obligationer | EUR | Storbritannien | XS2919102892 |
| ORANGE SA 3.125% 13.11.2031 | 000000000000000.350,35% | Obligationer | EUR | Frankrig | FR00140144B5 |
| KBC GROUP NV 15.01.2033 | 000000000000000.350,35% | Obligationer | EUR | Belgien | BE0390280494 |
| TALANX AG 05.12.2047 | 000000000000000.350,35% | Obligationer | EUR | Tyskland | XS1729882024 |
| DEUTSCHE BANK AG 16.06.2029 | 000000000000000.350,35% | Obligationer | EUR | Tyskland | DE000A4DFH60 |
| VONOVIA SE 4.5% 12.11.2040 | 000000000000000.340,34% | Obligationer | EUR | Tyskland | XS3222746532 |
| SAP SE 3.25% 03.06.2031 | 000000000000000.340,34% | Obligationer | EUR | Tyskland | XS3393869279 |
| AUSGRID FINANCE PTY LTD 3.51% 14.02.2033 | 000000000000000.340,34% | Obligationer | EUR | Australien | XS2999533438 |
| HONDA MOTOR CO LTD 3.501% 07.07.2029 | 000000000000000.340,34% | Obligationer | EUR | Japan | XS3416873738 |
| INFINEON TECHNOLOGIES AG 2.875% 13.02.2030 | 000000000000000.340,34% | Obligationer | EUR | Tyskland | XS2996771767 |
| EAST JAPAN RAILWAY CO 3.533% 04.09.2036 | 000000000000000.340,34% | Obligationer | EUR | Japan | XS2891034063 |
| KERRY GROUP FIN SERVICES 3.375% 05.03.2033 | 000000000000000.340,34% | Obligationer | EUR | Irland | XS2896495814 |
| AMAZON.COM INC 4.05% 16.03.2039 | 000000000000000.340,34% | Obligationer | EUR | USA | XS3305169768 |
| ROBERT BOSCH FINANCE 3.25% 28.05.2031 | 000000000000000.340,34% | Obligationer | EUR | USA | DE000A4EBMB3 |
| CELLNEX FINANCE CO SA 3% 19.01.2031 | 000000000000000.340,34% | Obligationer | EUR | Spanien | XS3267907965 |
| PUBLICIS GROUPE SA 3.375% 12.06.2032 | 000000000000000.340,34% | Obligationer | EUR | Frankrig | FR0014010CI2 |
| NTT FINANCE CORP 3.678% 16.07.2033 | 000000000000000.340,34% | Obligationer | EUR | Japan | XS3100081507 |
| TOTALENERGIES CAP INTL 3.647% 01.07.2035 | 000000000000000.340,34% | Obligationer | EUR | Frankrig | XS3106109849 |
| LINDE PLC 3% 18.02.2033 | 000000000000000.340,34% | Obligationer | EUR | USA | XS3000977317 |
| OTP BANK NYRT 24.12.2036 | 000000000000000.340,34% | Obligationer | EUR | Ungarn | XS3406852536 |
| AIB GROUP PLC 02.12.2036 | 000000000000000.340,34% | Obligationer | EUR | Irland | XS3237229193 |
| THERMO FISHER SC FNCE I 3.628% 01.12.2035 | 000000000000000.330,33% | Obligationer | EUR | Holland | XS3241802811 |
| P3 GROUP SARL 1.625% 26.01.2029 | 000000000000000.320,32% | Obligationer | EUR | Luxembourg | XS2436807940 |
| BANK POLSKA KASA OPIEKI 24.09.2030 | 000000000000000.320,32% | Obligationer | EUR | Polen | XS2906339747 |
| BNP PARIBAS 11.07.2030 | 000000000000000.320,32% | Obligationer | EUR | Frankrig | FR0014007LK5 |
| DIGITAL DUTCH FINCO BV 1% 15.01.2032 | 000000000000000.320,32% | Obligationer | EUR | Holland | XS2232115423 |
| DANFOSS FIN I BV 3.75% 30.06.2033 | 000000000000000.320,32% | Obligationer | EUR | Holland | XS3326479469 |
| NOVO NORDISK FINANCE NL 3.375% 21.05.2034 | 000000000000000.320,32% | Obligationer | EUR | Danmark | XS2820460751 |
| INFORMA PLC 3.375% 09.06.2031 | 000000000000000.320,32% | Obligationer | EUR | Storbritannien | XS3074456891 |
| CARNIVAL UK LTD 4.125% 15.07.2031 | 000000000000000.320,32% | Obligationer | EUR | Storbritannien | XS3111860865 |
| PKO BANK POLSKI SA 20.11.2032 | 000000000000000.310,31% | Obligationer | EUR | Polen | XS3227335422 |
| FISERV FUNDING UNLTD CO 2.875% 15.06.2028 | 000000000000000.310,31% | Obligationer | EUR | USA | XS3060656884 |
| IDS FINANCING PLC 4% 01.10.2032 | 000000000000000.310,31% | Obligationer | EUR | Storbritannien | XS3189697793 |
| AIB GROUP PLC 23.07.2029 | 000000000000000.310,31% | Obligationer | EUR | Irland | XS2578472339 |
| DANFOSS FIN 2 BV 0.75% 28.04.2031 | 000000000000000.310,31% | Obligationer | EUR | Holland | XS2332689764 |
| UBS GROUP AG 02.04.2032 | 000000000000000.300,30% | Obligationer | EUR | Schweiz | CH1174335740 |
| SANTANDER UK GROUP HLDGS 16.02.2030 | 000000000000000.300,30% | Obligationer | EUR | Storbritannien | XS3295829140 |
| STELLANTIS NV 4.625% 06.06.2035 | 000000000000000.300,30% | Obligationer | EUR | Holland | XS3090092233 |
| DSV FINANCE BV 3.25% 06.11.2030 | 000000000000000.300,30% | Obligationer | EUR | Holland | XS2932834604 |
| DEUTSCHE POST AG 4% 24.03.2040 | 000000000000000.290,29% | Obligationer | EUR | Tyskland | XS3032045398 |
| SPAREBANK 1 SOR-NORGE 3.375% 14.11.2029 | 000000000000000.290,29% | Obligationer | EUR | Norge | XS2820438401 |
| ALPHABET INC 3.375% 06.05.2037 | 000000000000000.280,28% | Obligationer | EUR | USA | XS3064425468 |
| SSE PLC 3.5% 18.03.2032 | 000000000000000.280,28% | Obligationer | EUR | Storbritannien | XS3027988263 |
| UNICREDIT SPA 16.04.2032 | 000000000000000.280,28% | Obligationer | EUR | Italien | IT0005704900 |
| NOVO NORDISK FINANCE NL 3.375% 20.02.2035 | 000000000000000.280,28% | Obligationer | EUR | Danmark | XS3232944531 |
| EUROBANK SA 30.04.2035 | 000000000000000.270,27% | Obligationer | EUR | Grækenland | XS2987792269 |
| ATHORA HOLDING LTD 5.375% 16.12.2037 | 000000000000000.270,27% | Obligationer | EUR | Bermuda | XS3338302139 |
| WP CAREY INC 3.25% 02.10.2031 | 000000000000000.260,26% | Obligationer | EUR | USA | XS3297733613 |
| PKO BANK POLSKI SA 16.06.2028 | 000000000000000.260,26% | Obligationer | EUR | Polen | XS2965663656 |
| ALPHABET INC 3.625% 11.05.2034 | 000000000000000.260,26% | Obligationer | EUR | USA | XS3363386544 |
| PKO BANK POLSKI SA 06.05.2030 | 000000000000000.260,26% | Obligationer | EUR | Polen | XS3296830444 |
| GENERALI 27.10.2047 | 000000000000000.260,26% | Obligationer | EUR | Italien | XS1311440082 |
| KONINKLIJKE PHILIPS NV 4% 23.05.2035 | 000000000000000.260,26% | Obligationer | EUR | Holland | XS3076315558 |
| ALPHABET INC 4% 06.11.2044 | 000000000000000.260,26% | Obligationer | EUR | USA | XS3224609530 |
| DNB BANK 3.75% 02.07.2035 | 000000000000000.260,26% | Obligationer | EUR | Norge | XS3038553353 |
| NTT FINANCE CORP 3.847% 01.07.2034 | 000000000000000.260,26% | Obligationer | EUR | Japan | XS3422221617 |
| SAGAX AB 4.375% 29.05.2030 | 000000000000000.260,26% | Obligationer | EUR | Sverige | XS2830446535 |
| NEW YORK LIFE GLOBAL FDG 3.625% 07.06.2034 | 000000000000000.250,25% | Obligationer | EUR | USA | XS2837841423 |
| DSM BV 3.625% 02.07.2034 | 000000000000000.250,25% | Obligationer | EUR | Holland | XS2852136063 |
| AT&T INC 3.95% 30.04.2031 | 000000000000000.250,25% | Obligationer | EUR | USA | XS2590758665 |
| BLACKROCK INC 3.75% 18.07.2035 | 000000000000000.240,24% | Obligationer | EUR | USA | XS3038485689 |
| MAGNUM ICC FINANCE BV 4% 26.11.2037 | 000000000000000.240,24% | Obligationer | EUR | Holland | XS3238211943 |
| COCA-COLA HBC FINANCE BV 3.125% 20.11.2032 | 000000000000000.240,24% | Obligationer | EUR | Holland | XS2934874566 |
| COCA-COLA EUROPACIFIC 3.25% 21.03.2032 | 000000000000000.230,23% | Obligationer | EUR | Storbritannien | XS2905425612 |
| COMPASS GROUP PLC 3.5% 15.01.2035 | 000000000000000.230,23% | Obligationer | EUR | Storbritannien | XS3232968985 |
| HEINEKEN NV 3.276% 29.10.2032 | 000000000000000.230,23% | Obligationer | EUR | Holland | XS3060780973 |
| MAPLE PARENT HLDS CO 4.224% 26.03.2032 | 000000000000000.230,23% | Obligationer | EUR | USA | XS3320665014 |
| AKELIUS RESIDENTIAL AB 3.95% 25.03.2031 | 000000000000000.230,23% | Obligationer | EUR | Sverige | XS3310459931 |
| COMMONWEALTH BANK AUST 26.08.2037 | 000000000000000.230,23% | Obligationer | EUR | Australien | XS3156297213 |
| MEDTRONIC INC 2.95% 15.10.2030 | 000000000000000.210,21% | Obligationer | EUR | USA | XS3185369371 |
| KONINKLIJKE KPN NV PERP | 000000000000000.210,21% | Obligationer | EUR | Holland | XS2486270858 |
| BOOKING HOLDINGS INC 3.25% 21.11.2032 | 000000000000000.210,21% | Obligationer | EUR | USA | XS2945618465 |
| VERISURE HOLDING AB 4.125% 02.01.2032 | 000000000000000.200,20% | Obligationer | EUR | Sverige | XS3332956369 |
| P3 GROUP SARL 3.75% 02.04.2033 | 000000000000000.200,20% | Obligationer | EUR | Luxembourg | XS3195025054 |
| AMERICAN TOWER CORP 4.625% 16.05.2031 | 000000000000000.200,20% | Obligationer | EUR | USA | XS2622275969 |
| HANNOVER RE 26.08.2043 | 000000000000000.200,20% | Obligationer | EUR | Tyskland | XS2549815913 |
| SYMRISE AG 3.25% 24.09.2032 | 000000000000000.190,19% | Obligationer | EUR | Tyskland | XS3178086230 |
| EATON CAPITAL ULC 3.55% 10.03.2034 | 000000000000000.190,19% | Obligationer | EUR | Irland | XS3309643594 |
| JOHNSON CONTROLS/TYCO FI 3.125% 11.12.2033 | 000000000000000.190,19% | Obligationer | EUR | USA | XS2957380228 |
| SEGRO PLC 3.5% 24.09.2032 | 000000000000000.190,19% | Obligationer | EUR | Storbritannien | XS2905579095 |
| HEIDELBERG MATERIALS FIN 4.875% 21.11.2033 | 000000000000000.190,19% | Obligationer | EUR | Luxembourg | XS2721465271 |
| ENEL SPA PERP | 000000000000000.190,19% | Obligationer | EUR | Italien | XS2576550243 |
| SVENSKA HANDELSBANKEN AB 16.08.2034 | 000000000000000.190,19% | Obligationer | EUR | Sverige | XS2667124569 |
| SARTORIUS FINANCE BV 4.5% 14.09.2032 | 000000000000000.180,18% | Obligationer | EUR | Holland | XS2676395317 |
| CAIXABANK SA 23.02.2033 | 000000000000000.180,18% | Obligationer | EUR | Spanien | XS2558978883 |
| ALLIANDER NV 3.25% 30.04.2031 | 000000000000000.180,18% | Obligationer | EUR | Holland | XS3359749481 |
| ATRADIUS CREDITO Y CAUCI 5% 17.04.2034 | 000000000000000.180,18% | Obligationer | EUR | Spanien | XS2798125907 |
| HYUNDAI CAPITAL AMERICA 3.7% 25.06.2032 | 000000000000000.180,18% | Obligationer | EUR | USA | XS3319132513 |
| FIBERCOP SPA 5.375% 15.04.2031 | 000000000000000.180,18% | Obligationer | EUR | Italien | XS3338785937 |
| DANFOSS FIN 2 BV 4.125% 02.12.2029 | 000000000000000.180,18% | Obligationer | EUR | Holland | XS2628785466 |
| AMPRION GMBH 4.125% 07.09.2034 | 000000000000000.180,18% | Obligationer | EUR | Tyskland | DE000A3514F3 |
| MIZUHO FINANCIAL GROUP 4.416% 20.05.2033 | 000000000000000.180,18% | Obligationer | EUR | Japan | XS2589713614 |
| WPP FINANCE 2013 3.625% 09.06.2031 | 000000000000000.180,18% | Obligationer | EUR | Storbritannien | XS3239332359 |
| LOGICOR FINANCING SARL 0.875% 14.01.2031 | 000000000000000.180,18% | Obligationer | EUR | Luxembourg | XS2286012849 |
| NATIONAL GRID PLC 4.275% 16.01.2035 | 000000000000000.180,18% | Obligationer | EUR | Storbritannien | XS2576067081 |
| BANQUE FED CRED MUTUEL 4.375% 02.05.2030 | 000000000000000.180,18% | Obligationer | EUR | Frankrig | FR001400HMF8 |
| HSBC HOLDINGS PLC 12.05.2036 | 000000000000000.180,18% | Obligationer | EUR | Storbritannien | XS3367697797 |
| RAIFFEISEN BANK INTL 03.01.2030 | 000000000000000.180,18% | Obligationer | EUR | Østrig | XS2893858352 |
| TELEFONICA EMISIONES SAU 4.183% 21.11.2033 | 000000000000000.180,18% | Obligationer | EUR | Spanien | XS2722162315 |
| AIB GROUP PLC 20.05.2035 | 000000000000000.180,18% | Obligationer | EUR | Irland | XS2823235085 |
| TEOLLISUUDEN VOIMA OYJ 4.25% 22.05.2031 | 000000000000000.180,18% | Obligationer | EUR | Finland | XS2823931824 |
| CESKA SPORITELNA AS 03.07.2031 | 000000000000000.180,18% | Obligationer | EUR | Tjekkiet | XS2852933329 |
| ABERTIS FINANCE BV PERP | 000000000000000.180,18% | Obligationer | EUR | Holland | XS3074459994 |
| IPSOS SA 3.75% 22.01.2030 | 000000000000000.180,18% | Obligationer | EUR | Frankrig | FR001400WRF6 |
| COMMERZBANK AG 15.10.2035 | 000000000000000.180,18% | Obligationer | EUR | Tyskland | DE000CZ45Y30 |
| TRANSURBAN FINANCE CO 4.143% 17.04.2035 | 000000000000000.180,18% | Obligationer | EUR | Australien | XS3047435659 |
| MBANK SA 03.03.2032 | 000000000000000.180,18% | Obligationer | EUR | Polen | XS3244863729 |
| MANPOWERGROUP 3.75% 13.12.2030 | 000000000000000.180,18% | Obligationer | EUR | USA | XS3247024824 |
| VEOLIA ENVIRONNEMENT SA 3.69% 10.04.2031 | 000000000000000.180,18% | Obligationer | EUR | Frankrig | FR0014017P12 |
| INVESTOR AB 4% 31.03.2038 | 000000000000000.180,18% | Obligationer | EUR | Sverige | XS3032045984 |
| BANK OF MONTREAL 10.07.2030 | 000000000000000.170,17% | Obligationer | EUR | Canada | XS2856789511 |
| ABERTIS FINANCE BV PERP | 000000000000000.170,17% | Obligationer | EUR | Holland | XS3315415243 |
| CITIGROUP INC 14.05.2032 | 000000000000000.170,17% | Obligationer | EUR | USA | XS2577826386 |
| RAIFFEISEN BANK INTL 13.11.2033 | 000000000000000.170,17% | Obligationer | EUR | Østrig | XS3227928911 |
| LANDSBANKINN HF 4% 12.05.2031 | 000000000000000.170,17% | Obligationer | EUR | Island | XS3368835719 |
| PERMANENT TSB GROUP 22.12.2035 | 000000000000000.170,17% | Obligationer | EUR | Irland | XS3183164220 |
| AMPRION GMBH 3.625% 21.05.2031 | 000000000000000.170,17% | Obligationer | EUR | Tyskland | DE000A383BP6 |
| ING GROEP NV 19.11.2032 | 000000000000000.170,17% | Obligationer | EUR | Holland | XS2941482569 |
| AMERICA MOVIL BV 3% 30.09.2030 | 000000000000000.170,17% | Obligationer | EUR | Holland | XS3194135706 |
| CAIXABANK SA 20.01.2037 | 000000000000000.170,17% | Obligationer | EUR | Spanien | XS3261883105 |
| FIDELITY NATL INFO SERV 3.45% 10.03.2030 | 000000000000000.170,17% | Obligationer | EUR | USA | XS3309700063 |
| SARTORIUS FINANCE BV 3.75% 12.05.2031 | 000000000000000.170,17% | Obligationer | EUR | Holland | XS3352063047 |
| VOLKSWAGEN BANK GMBH 3.125% 10.12.2029 | 000000000000000.170,17% | Obligationer | EUR | Tyskland | XS3249926935 |
| SSE PLC PERP | 000000000000000.170,17% | Obligationer | EUR | Storbritannien | XS3310370955 |
| VOLKSWAGEN BANK GMBH 3.75% 10.12.2032 | 000000000000000.170,17% | Obligationer | EUR | Tyskland | XS3249928394 |
| MET LIFE GLOB FUNDING I 3.25% 31.03.2030 | 000000000000000.170,17% | Obligationer | EUR | USA | XS3036075102 |
| AMPRION GMBH 4.072% 15.01.2038 | 000000000000000.170,17% | Obligationer | EUR | Tyskland | DE000A460EY8 |
| RTE RESEAU DE TRANSPORT 3.875% 24.11.2037 | 000000000000000.170,17% | Obligationer | EUR | Frankrig | FR0014014DW3 |
| ARION BANKI HF 3.625% 27.05.2030 | 000000000000000.170,17% | Obligationer | EUR | Island | XS3010578493 |
| CREDIT MUTUEL ARKEA 09.06.2037 | 000000000000000.170,17% | Obligationer | EUR | Frankrig | FR0014018V39 |
| WERFEN SA/SPAIN 3.625% 12.02.2032 | 000000000000000.170,17% | Obligationer | EUR | Spanien | XS3090952519 |
| ENGIE SA PERP | 000000000000000.170,17% | Obligationer | EUR | Frankrig | FR0014016Z94 |
| COMMERZBANK AG 15.04.2032 | 000000000000000.170,17% | Obligationer | EUR | Tyskland | DE000CZ46CC3 |
| BOOKING HOLDINGS INC 3% 07.11.2030 | 000000000000000.170,17% | Obligationer | EUR | USA | XS3224498108 |
| UNIVERSAL MUSIC GROUP NV 3.375% 16.06.2030 | 000000000000000.170,17% | Obligationer | EUR | Holland | XS3405538888 |
| LEGRAND SA 3.625% 19.03.2035 | 000000000000000.170,17% | Obligationer | EUR | Frankrig | FR001400Y8Q4 |
| BPCE SA 19.12.2031 | 000000000000000.170,17% | Obligationer | EUR | Frankrig | FR0014015K76 |
| UNIBAIL-RODAMCO-WESTFLD 3.875% 21.04.2033 | 000000000000000.170,17% | Obligationer | EUR | Frankrig | FR0014016I12 |
| VONOVIA SE 3.5% 12.11.2032 | 000000000000000.170,17% | Obligationer | EUR | Tyskland | XS3222746375 |
| CESKA SPORITELNA AS 11.02.2033 | 000000000000000.170,17% | Obligationer | EUR | Tjekkiet | XS3293838812 |
| NEXTERA ENERGY CAPITAL 3.624% 10.02.2034 | 000000000000000.170,17% | Obligationer | EUR | USA | XS3289873419 |
| UNIQA INSURANCE GROUP AG 13.05.2046 | 000000000000000.170,17% | Obligationer | EUR | Østrig | XS3357207417 |
| REWE INT FINANCE 2.75% 03.07.2028 | 000000000000000.170,17% | Obligationer | EUR | Holland | XS3090081467 |
| ABERTIS INFRAESTRUCTURAS 3.625% 08.03.2032 | 000000000000000.170,17% | Obligationer | EUR | Spanien | XS3399007288 |
| TEOLLISUUDEN VOIMA OYJ 3.625% 18.03.2033 | 000000000000000.170,17% | Obligationer | EUR | Finland | XS3176713934 |
| BPCE SA 26.02.2036 | 000000000000000.170,17% | Obligationer | EUR | Frankrig | FR001400XLI1 |
| AEROPORTI DI ROMA SPA 3.625% 15.06.2032 | 000000000000000.170,17% | Obligationer | EUR | Italien | XS3067397789 |
| BANQUE FED CRED MUTUEL 3.125% 11.03.2031 | 000000000000000.170,17% | Obligationer | EUR | Frankrig | FR0014014TL2 |
| UNIVERSAL MUSIC GROUP NV 4.125% 16.06.2036 | 000000000000000.170,17% | Obligationer | EUR | Holland | XS3405538961 |
| ORANGE SA PERP | 000000000000000.170,17% | Obligationer | EUR | Frankrig | FR00140194B0 |
| ELECTRICITE DE FRANCE SA 3% 04.03.2031 | 000000000000000.170,17% | Obligationer | EUR | Frankrig | FR0014016LX9 |
| EUROBANK SA 29.04.2037 | 000000000000000.170,17% | Obligationer | EUR | Grækenland | XS3277937135 |
| CTP NV 3.375% 19.07.2030 | 000000000000000.170,17% | Obligationer | EUR | Holland | XS3261863412 |
| ANHEUSER-BUSCH INBEV SA/ 3.875% 19.05.2038 | 000000000000000.170,17% | Obligationer | EUR | Belgien | BE6364525640 |
| SWISSCOM FINANCE 3.125% 21.05.2032 | 000000000000000.170,17% | Obligationer | EUR | Holland | XS3071336526 |
| T-MOBILE USA INC 3.625% 19.02.2035 | 000000000000000.170,17% | Obligationer | EUR | USA | XS3298843924 |
| AROUNDTOWN FINANCE SARL PERP | 000000000000000.170,17% | Obligationer | EUR | Luxembourg | XS2799493825 |
| ENBW ENERGIE BADEN - WU 10.02.2056 | 000000000000000.170,17% | Obligationer | EUR | Tyskland | XS3286678191 |
| TELSTRA GROUP LTD 3.375% 02.03.2035 | 000000000000000.170,17% | Obligationer | EUR | Australien | XS3166363906 |
| VISA INC 3.5% 15.05.2037 | 000000000000000.170,17% | Obligationer | EUR | USA | XS3063724754 |
| MASSMUTUAL GLOBAL FUNDIN 3.25% 11.06.2032 | 000000000000000.170,17% | Obligationer | EUR | USA | XS3088620037 |
| ORANGE SA PERP | 000000000000000.170,17% | Obligationer | EUR | Frankrig | FR00140005L7 |
| BERTELSMANN SE & CO KGAA 3.75% 23.07.2034 | 000000000000000.170,17% | Obligationer | EUR | Tyskland | XS3278827590 |
| HEIDELBERG MATERIALS FIN 3.75% 15.07.2036 | 000000000000000.170,17% | Obligationer | EUR | Luxembourg | XS3270897575 |
| ORANGE SA 4.125% 13.11.2045 | 000000000000000.170,17% | Obligationer | EUR | Frankrig | FR00140144E9 |
| AROUNDTOWN FINANCE SARL PERP | 000000000000000.170,17% | Obligationer | EUR | Luxembourg | XS3285553361 |
| SWISS RE FINANCE UK 04.06.2052 | 000000000000000.160,16% | Obligationer | EUR | Storbritannien | XS2181959110 |
| COOPERATIEVE RABOBANK UA 1.125% 07.05.2031 | 000000000000000.160,16% | Obligationer | EUR | Holland | XS1991126431 |
| HAMBURG COMMERCIAL BANK 3.5% 31.01.2030 | 000000000000000.100,10% | Obligationer | EUR | Tyskland | DE000HCB0CC8 |
| RCI BANQUE SA 3.5% 17.01.2028 | 000000000000000.090,09% | Obligationer | EUR | Frankrig | FR001400WK95 |
| Likvider m.v. | 000000000000001.541,54% |
Senest opdateret 31.07.2026
Bemærk, at alle beholdninger er forsinket med 1 måned.
Bemærk, at alle beholdninger er forsinket med 1 måned.