| 1° |
 |
Nordea 1 Norwegian Short-Term Bond BI NOKLU0772961230 |
|
3.06%
(1°)
|
14.33%
(1°)
|
8.14%
(1°)
|
2.40%
(4°)
|
Open overview and rankings |
| 2° |
 |
Nordea 1 Norwegian Short-Term Bond BC NOKLU0841578569 |
|
3.05%
(4°)
|
14.19%
(4°)
|
8.02%
(2°)
|
2.28%
(7°)
|
Open overview and rankings |
| 3° |
 |
Nordea 1 Norwegian Short-Term Bond BP NOKLU0078812822 |
|
3.05%
(2°)
|
14.19%
(2°)
|
8.01%
(3°)
|
2.28%
(5°)
|
Open overview and rankings |
| 4° |
 |
Nordea 1 Norwegian Short-Term Bond AC NOKLU0841579021 - Distribute dividends |
|
3.05%
(3°)
|
14.19%
(3°)
|
8.01%
(4°)
|
2.28%
(6°)
|
Open overview and rankings |
| 5° |
 |
Nordea 1 Norwegian Short-Term Bond BP EURLU0173786863 |
|
2.94%
(5°)
|
14.14%
(5°)
|
7.99%
(5°)
|
2.26%
(8°)
|
Open overview and rankings |
| 6° |
 |
Nordea 1 Norwegian Short-Term Bond BC EURLU0841577678 |
|
2.94%
(6°)
|
14.14%
(6°)
|
7.99%
(6°)
|
2.26%
(9°)
|
Open overview and rankings |
| 7° |
 |
Nordea 1 Swedish Short-Term Bond BI SEKLU0772963442 |
|
0.54%
(14°)
|
3.57%
(14°)
|
5.49%
(7°)
|
0.93%
(12°)
|
Open overview and rankings |
| 8° |
 |
Nordea 1 Swedish Short-Term Bond BP EURLU0173785626 |
|
0.40%
(18°)
|
3.49%
(15°)
|
5.38%
(8°)
|
0.82%
(14°)
|
Open overview and rankings |
| 9° |
 |
Nordea 1 Swedish Short-Term Bond BC EURLU0841580466 |
|
0.40%
(17°)
|
3.47%
(16°)
|
5.38%
(9°)
|
0.81%
(16°)
|
Open overview and rankings |
| 10° |
 |
Nordea 1 Swedish Short-Term Bond BP SEKLU0064321663 |
|
0.53%
(16°)
|
3.45%
(17°)
|
5.37%
(10°)
|
0.82%
(13°)
|
Open overview and rankings |
| 11° |
 |
Nordea 1 Swedish Short-Term Bond BC SEKLU0841581514 |
|
0.53%
(15°)
|
3.43%
(18°)
|
5.37%
(11°)
|
0.82%
(15°)
|
Open overview and rankings |
| 12° |
 |
JPM AUD Liquidity Lvnav E (acc.)LU1747643879 |
|
1.41%
(8°)
|
13.15%
(7°)
|
4.24%
(12°)
|
0.00%
(20°)
|
Open overview and rankings |
| 13° |
 |
JPM AUD Liquidity Lvnav C (acc.)LU0533339585 |
|
1.40%
(9°)
|
13.03%
(8°)
|
4.13%
(13°)
|
1.84%
(10°)
|
Open overview and rankings |
| 14° |
 |
JPM AUD Liquidity Lvnav A (acc.)LU0533339742 |
|
1.38%
(10°)
|
12.76%
(9°)
|
3.83%
(14°)
|
1.61%
(11°)
|
Open overview and rankings |
| 15° |
 |
JPM AUD Liquidity Lvnav C (dist.)LU1303371634 - Distribute dividends |
|
1.28%
(11°)
|
11.53%
(12°)
|
2.45%
(15°)
|
0.56%
(17°)
|
Open overview and rankings |
| 16° |
 |
JPM AUD Liquidity Lvnav Inst (dist.)LU0533340161 - Distribute dividends |
|
1.28%
(12°)
|
11.54%
(11°)
|
2.40%
(16°)
|
0.52%
(18°)
|
Open overview and rankings |
| 17° |
 |
JPM AUD Liquidity Lvnav Agency (dist.)LU0533340328 - Distribute dividends |
|
1.28%
(13°)
|
11.51%
(13°)
|
2.37%
(17°)
|
0.51%
(19°)
|
Open overview and rankings |
| 18° |
 |
JPM SGD Liquidity Lvnav E (acc.)LU1747645064 |
|
-0.76%
(19°)
|
1.81%
(19°)
|
2.20%
(18°)
|
0.00%
(21°)
|
Open overview and rankings |
| 19° |
 |
JPM SGD Liquidity Lvnav C (acc.)LU0440254422 |
|
-0.77%
(20°)
|
1.69%
(20°)
|
2.10%
(19°)
|
3.58%
(1°)
|
Open overview and rankings |
| 20° |
 |
JPM SGD Liquidity Lvnav C (dist.)LU1303371808 - Distribute dividends |
|
-0.80%
(21°)
|
1.22%
(21°)
|
0.90%
(20°)
|
2.49%
(2°)
|
Open overview and rankings |
| 21° |
 |
JPM SGD Liquidity Lvnav Inst (dist.)LU0440258258 - Distribute dividends |
|
-0.80%
(22°)
|
1.22%
(22°)
|
0.85%
(21°)
|
2.46%
(3°)
|
Open overview and rankings |
| 22° |
 |
HSBC Australian Dollar Liquidity LIE00BD4H6981 |
|
1.58%
(7°)
|
12.45%
(10°)
|
0.00%
(22°)
|
0.00%
(25°)
|
Open overview and rankings |
| 23° |
 |
Pictet-Short-Term Money Market JPY-ZLU0309036175 |
|
-1.43%
(23°)
|
-12.70%
(23°)
|
-7.26%
(23°)
|
-6.92%
(26°)
|
Open overview and rankings |
| 24° |
 |
Pictet-Short-Term Money Market JPY-ILU0309035367 |
|
-1.44%
(28°)
|
-12.77%
(24°)
|
-7.34%
(24°)
|
-6.99%
(27°)
|
Open overview and rankings |
| 25° |
 |
Goldman Sachs Yen Liquid Reserves X AccIE00B1VR5018 |
|
-1.44%
(26°)
|
-12.78%
(25°)
|
-7.35%
(25°)
|
0.00%
(22°)
|
Open overview and rankings |
| 26° |
 |
Goldman Sachs Yen Liquid Reserves X Acc (T)IE00BJ4SJP04 |
|
-1.44%
(27°)
|
-12.78%
(26°)
|
-7.35%
(26°)
|
0.00%
(24°)
|
Open overview and rankings |
| 27° |
 |
Pictet-Short-Term Money Market JPY-PLU0309035441 |
|
-1.44%
(25°)
|
-12.79%
(27°)
|
-7.36%
(27°)
|
-7.01%
(28°)
|
Open overview and rankings |
| 28° |
 |
Pictet-Short-Term Money Market JPY-P dyLU0309035524 - Distribute dividends |
|
-1.44%
(31°)
|
-12.79%
(29°)
|
-7.36%
(28°)
|
-7.01%
(29°)
|
Open overview and rankings |
| 29° |
 |
Pictet-Short-Term Money Market JPY-RLU0309035870 |
|
-1.44%
(24°)
|
-12.84%
(31°)
|
-7.40%
(29°)
|
-7.06%
(31°)
|
Open overview and rankings |
| 30° |
 |
Goldman Sachs Yen Liquid Reserves Inst Acc (T)IE00BHTFW194 |
|
-1.45%
(32°)
|
-12.92%
(32°)
|
-7.43%
(30°)
|
0.00%
(23°)
|
Open overview and rankings |