| Aktier | 2,078 mia. | - | Vanguard | 0,15 | Samlet marked | FTSE Japan | 21.5.2013 | 35,67 | 1,47 | 14,32 |
| Aktier | 2,05 mia. | - | Vanguard | 0,10 | Samlet marked | FTSE North America Index | 30.9.2014 | 128,76 | 4,77 | 25,68 |
| Aktier | 1,893 mia. | - | Vanguard | 0,31 | Samlet marked | S&P U.S. Dividend Growers Index - CAD - Benchmark TR Net | 2.8.2013 | 86,23 | 0 | 0 |
| Obligationer | 1,796 mia. | - | Vanguard | 0,05 | Investment Grade | Bloomberg Short Treasury Index | 2.9.2020 | 56,45 | 0 | 0 |
| Aktier | 1,577 mia. | - | Vanguard | 0,10 | Samlet marked | FTSE North America Index | 23.7.2019 | 131,30 | 0 | 0 |
| Obligationer | 1,566 mia. | - | Vanguard | 0,10 | Investment Grade | Bloomberg Global Aggregate Float-Adjusted and Scaled | 18.6.2019 | 24,86 | 0 | 0 |
| Aktier | 1,505 mia. | - | Vanguard | 0,09 | Large Cap | FTSE 100 | 14.5.2019 | 42,38 | 0 | 0 |
| Aktier | 1,494 mia. | - | Vanguard | 0,10 | Mid Cap | FTSE 250 | 30.9.2014 | 29,48 | 1,20 | 10,73 |
| Obligationer | 1,435 mia. | - | Vanguard | 0,09 | Investment Grade | Bloomberg Global Aggregate - US Treasury Float Adjusted | 19.2.2019 | 26,26 | 0 | 0 |
| Obligationer | 1,33 mia. | - | Vanguard | 0,23 | Investment Grade | Bloomberg Barclays U.S. Aggregate Float Adjusted Bond Hedged to CAD Index - CAD | 30.6.2014 | 21,40 | 0 | 0 |
| Obligationer | 1,301 mia. | - | Vanguard | 0,10 | Investment Grade | Bloomberg Global Aggregate Float-Adjusted and Scaled | 18.6.2019 | 23,36 | 0 | 0 |
| Aktier | 1,266 mia. | - | Vanguard | 0,10 | Samlet marked | FTSE Developed Europe Index | 23.7.2019 | 45,18 | 2,13 | 15,38 |
| Aktier | 1,266 mia. | - | Vanguard | 0,10 | Samlet marked | FTSE Developed Europe Index | 23.7.2019 | 45,18 | 2,13 | 15,38 |
| Obligationer | 1,192 mia. | - | Vanguard | 0,11 | Investment Grade | Bloomberg Global Aggregate Canadian Government/Credit Float Adjusted (1-5 Y) | 30.11.2011 | 23,38 | 0 | 0 |
| Obligationer | 1,169 mia. | 75.045,34 | Vanguard | 0,03 | Investment Grade | Bloomberg US Corporate Investment Grade | 7.11.2017 | 75,61 | 0 | 0 |
| Obligationer | 1,099 mia. | 65.604,07 | Vanguard | 0,05 | Investment Grade | Bloomberg Global Aggregate Float Adjusted | 4.9.2018 | 68,73 | 0 | 0 |
| Aktier | 1,098 mia. | 88.580,73 | Vanguard | 0,10 | Small Cap | S&P Small Cap 600 Value | 7.9.2010 | 74,75 | 1,29 | 13,73 |
| Aktier | 1,05 mia. | - | Vanguard | 0,15 | Samlet marked | FTSE All-World Developed Asia Pacific x JP | 21.5.2013 | 23,69 | 1,36 | 13,52 |
| Aktier | 1,016 mia. | - | Vanguard | 0,16 | Samlet marked | CRSP U.S. Total Market Hedged to CAD Index - CAD | 30.11.2011 | 90,94 | 0 | 0 |
| Obligationer | 1,007 mia. | - | Vanguard | 0,11 | Investment Grade | Bloomberg Global Aggregate Canadian Credit Float Adjusted (1-5 Y) | 2.11.2012 | 24,05 | 0 | 0 |
| Aktier | 990,549 mio. | - | Vanguard | 0,15 | Samlet marked | FTSE Japan | 24.9.2019 | 32,71 | 0 | 0 |
| Aktier | 990,549 mio. | - | Vanguard | 0,15 | Samlet marked | FTSE Japan | 24.9.2019 | 32,71 | 0 | 0 |
| Aktier | 990,415 mio. | 38.803,66 | Vanguard | 0,15 | Mid Cap | S&P Mid Cap 400 Growth | 7.9.2010 | 97,84 | 4,15 | 21,60 |
| Aktier | 960,881 mio. | - | Vanguard | 0,29 | Høj udbytterendite | FTSE All-World High Dividend Yield (USD)(TR) | 24.9.2019 | 74,42 | 0 | 0 |
| Obligationer | 932,068 mio. | - | Vanguard | 0,10 | Investment Grade | Bloomberg Global Aggregate Float-Adjusted and Scaled | 18.6.2019 | 25,94 | 0 | 0 |
| Obligationer | 928,442 mio. | 495.338,2 | Vanguard | 0,07 | Investment Grade | Bloomberg 0-3M Treasury Bill Index - Benchmark TR Gross | 7.2.2025 | 75,34 | 0 | 0 |
| Obligationer | 927,561 mio. | 122.072,4 | Vanguard | 0,08 | Investment Grade | S&P California AMT-Free Municipal Bond | 26.1.2024 | 96,62 | 0 | 0 |
| Aktier | 911,917 mio. | 55.490,41 | Vanguard | 0,13 | Samlet marked | | 13.2.2018 | 143,61 | 3,31 | 19,35 |
| Obligationer | 882,796 mio. | 68.289,82 | Vanguard | 0,06 | Investment Grade | S&P 0-7 Yr National AMT-Free Municipal Bond Index - Benchmark TR Gross | 9.3.2023 | 99,57 | 0 | 0 |
| Aktier | 872,041 mio. | 33.407,73 | Vanguard | 0,10 | Small Cap | Russell 2000 Growth | 20.9.2010 | 174,49 | 4,23 | 21,03 |
| Obligationer | 869,923 mio. | - | Vanguard | 0,39 | Investment Grade | Bloomberg Barclays Global Aggregate ex-USD Float Adjusted RIC Capped Hedged to CAD Index - CAD | 30.6.2014 | 22,97 | 0 | 0 |
| Aktier | 855,55 mio. | - | Vanguard | 0,22 | Samlet marked | FTSE Emerging Index | 24.9.2019 | 61,72 | 0 | 0 |
| Obligationer | 821,541 mio. | 38.688,93 | Vanguard | 0,12 | Investment Grade | Bloomberg MSCI US Corporate SRI Select Index - Benchmark TR Gross | 22.9.2020 | 61,99 | 0 | 0 |
| Aktier | 821,272 mio. | 26.088,27 | Vanguard | 0,10 | Mid Cap | S&P Mid Cap 400 Value | 7.9.2010 | 84,54 | 1,86 | 17,41 |
| Obligationer | 761,851 mio. | - | Vanguard | 0,14 | Investment Grade | Bloomberg Global Aggregate Corporate - United States Dollar | 31.8.2020 | 53,45 | 0 | 0 |
| Aktier | 742,207 mio. | 62.458,84 | Vanguard | 0,10 | Small Cap | S&P Small Cap 600 Growth | 7.9.2010 | 99,33 | 2,52 | 17,36 |
| Aktier | 734,743 mio. | - | Vanguard | 0,30 | Samlet marked | S&P U.S. Dividend Growers Index - CAD - Benchmark TR Net Hedged | 2.8.2013 | 59,17 | 0 | 0 |
| Aktier | 704,076 mio. | - | Vanguard | 0,22 | Samlet marked | FTSE Developed All Cap ex U.S. Hedged to CAD Index - CAD | 30.11.2011 | 54,26 | 0 | 0 |
| Aktier | 688,179 mio. | 27.265 | Vanguard | 0,10 | Small Cap | Russell 2000 Value | 20.9.2010 | 122,07 | 1,32 | 14,29 |
| Aktier | 675,499 mio. | - | Vanguard | 0,10 | Samlet marked | FTSE Developed Europe ex UK Index - EUR | 23.7.2019 | 45,93 | 0 | 0 |
| Aktier | 672,648 mio. | 24.218,57 | Vanguard | 0,13 | Samlet marked | | 13.2.2018 | 102,02 | 1,13 | 9,93 |
| Obligationer | 611,281 mio. | - | Vanguard | 0,25 | Bredt kredit | Bloomberg EM USD Sovereign + Quasi-Sov | 19.2.2019 | 56,56 | 0 | 0 |
| Obligationer | 608,433 mio. | - | Vanguard | 0,09 | Investment Grade | Bloomberg Global Aggregate - US Treasury Float Adjusted | 24.2.2016 | 21,67 | 0 | 0 |
| Formuefordeling | 598,535 mio. | - | Vanguard | 0,25 | Målsætningsrisiko | | 8.12.2020 | 32,61 | 0 | 0 |
| Obligationer | 580,839 mio. | - | Vanguard | 0,25 | Bredt kredit | Bloomberg EM USD Sovereign + Quasi-Sov | 6.12.2016 | 41,79 | 0 | 0 |
| Aktier | 563,992 mio. | - | Vanguard | 0,10 | Mid Cap | FTSE 250 | 14.5.2019 | 34,65 | 0 | 0 |
| Obligationer | 541,11 mio. | - | Vanguard | 0,09 | Investment Grade | Bloomberg Global Aggregate Corporate - United States Dollar | 24.2.2016 | 46,79 | 0 | 0 |
| Aktier | 539,46 mio. | - | Vanguard | 0,24 | Samlet marked | FTSE Global All Cap Choice Index - Benchmark TR Net | 23.3.2021 | 5,98 | 0 | 0 |
| Formuefordeling | 524,746 mio. | - | Vanguard | 0,24 | Målsætningsrisiko | | 25.1.2018 | 28,50 | 0 | 0 |
| Obligationer | 524,067 mio. | - | Vanguard | 0,14 | Investment Grade | Bloomberg Global Aggregate Corporate (1-3 Y) (USD) | 4.4.2023 | 2.477,95 | 0 | 0 |
| Obligationer | 503,997 mio. | 87.51 | Vanguard | 0,20 | Bredt kredit | | 6.12.2023 | 76,43 | 0 | 0 |
| Aktier | 483,647 mio. | - | Vanguard | 0,22 | Samlet marked | FTSE Developed All Cap ex U.S. Index - CAD | 2.8.2013 | 43,69 | 0 | 0 |
| Obligationer | 471,081 mio. | 44.808,11 | Vanguard | 0,08 | Investment Grade | S&P Intermediate Term National AMT-Free Municipal Bond Index | 26.1.2024 | 97,36 | 0 | 0 |
| Formuefordeling | 459,608 mio. | - | Vanguard | 0,25 | Målsætningsrisiko | | 8.12.2020 | 29,51 | 0 | 0 |
| Obligationer | 454,806 mio. | - | Vanguard | 0,14 | Investment Grade | Bloomberg Global Aggregate - US Treasury Float Adjusted | 31.8.2020 | 25,19 | 0 | 0 |
| Aktier | 446,92 mio. | - | Vanguard | 0,24 | Samlet marked | FTSE Global All Cap Choice Index - Benchmark TR Net | 25.3.2021 | 5,64 | 3,19 | 21,42 |
| Aktier | 446,829 mio. | - | Vanguard | 1,20 | Samlet marked | BET Index - RON | 29.8.2012 | 27,03 | 1,39 | 8,85 |
| Aktier | 445,808 mio. | - | Vanguard | 0,22 | Samlet marked | FTSE Developed All Cap ex North America Hedged to CAD Index - CAD | 1.12.2015 | 37,94 | 0 | 0 |
| Obligationer | 402,184 mio. | - | Vanguard | 0,16 | Investment Grade | Bloomberg Barclays Global Aggregate Canadian Credit Float Adjusted Index - CAD | 31.1.2017 | 24,08 | 0 | 0 |
| Aktier | 396,003 mio. | - | Vanguard | 0,43 | Samlet marked | FTSE Developed All-Cap Index | 14.6.2016 | 46,41 | 1,09 | 10,39 |
| Aktier | 359,772 mio. | - | Vanguard | 0,15 | Samlet marked | FTSE All-World Developed Asia Pacific x JP | 24.9.2019 | 29,26 | 0 | 0 |
| Obligationer | 359,379 mio. | - | Vanguard | 0,09 | Investment Grade | Bloomberg Global Aggregate Corporate (1-3 Y) (USD) | 22.5.2018 | 49,28 | 0 | 0 |
| Obligationer | 359,379 mio. | - | Vanguard | 0,09 | Investment Grade | Bloomberg Global Aggregate Corporate (1-3 Y) (USD) | 22.5.2018 | 49,28 | 0 | 0 |
| Obligationer | 358,358 mio. | - | Vanguard | 0,15 | Investment Grade | Bloomberg MSCI Global Corporate Float-Adjusted Liquid Bond Screened Index - EUR - Benchmark TR Gross Hedged | 20.5.2021 | 4,09 | 0 | 0 |
| Aktier | 354,973 mio. | 14.533,64 | Vanguard | 0,13 | Samlet marked | | 13.2.2018 | 124,53 | 3,11 | 15,89 |
| Obligationer | 327,467 mio. | - | Vanguard | 0,15 | Investment Grade | Bloomberg MSCI Global Corporate Float-Adjusted Liquid Bond Screened Index - EUR - Benchmark TR Gross Hedged | 20.5.2021 | 4,65 | 0 | 0 |
| Aktier | 305,91 mio. | 17.579,5 | Vanguard | 0,18 | Samlet marked | | 13.2.2018 | 117,42 | 2,05 | 12,80 |
| Aktier | 304,476 mio. | - | Vanguard | 0,22 | Høj udbytterendite | FTSE Developed ex North America High Dividend Yield Index - CAD | 21.8.2018 | 33,35 | 1,41 | 11,71 |
| Aktier | 275,999 mio. | - | Vanguard | 0,23 | Samlet marked | FTSE Developed Europe All Cap Index - CAD | 30.6.2014 | 37,63 | 2,11 | 16,02 |
| Aktier | 267,198 mio. | - | Vanguard | 0,12 | Samlet marked | FTSE North America All Cap Choice Index - Benchmark TR Gross | 16.8.2022 | 6,18 | 4,92 | 26,15 |
| Obligationer | 266,983 mio. | - | Vanguard | 0,17 | Investment Grade | Bloomberg Global Aggregate Canadian Float Adjusted (10+ Y) | 31.1.2017 | 20,94 | 0 | 0 |
| Obligationer | 265,045 mio. | - | Vanguard | 0,07 | Investment Grade | Bloomberg Sterling Gilt Float Adjusted index - GBP - Benchmark TR Net | 22.5.2012 | 15,96 | 0 | 0 |
| Formuefordeling | 264,573 mio. | - | Vanguard | 0,34 | Målresultat | | 9.9.2020 | 24,45 | 0 | 0 |
| Aktier | 252,164 mio. | - | Vanguard | 0,41 | Ejendomme | FTSE Custom Canada All Cap Real Estate Capped 25% | 2.11.2012 | 29,52 | 1,09 | 20,55 |
| Aktier | 232,627 mio. | 31.593,82 | Vanguard | 0,13 | Samlet marked | | 13.2.2018 | 119,96 | 3,34 | 19,72 |
| Formuefordeling | 222,5 mio. | - | Vanguard | 0,24 | Målresultat | | 29.1.2019 | 25,74 | 0 | 0 |
| Aktier | 201,313 mio. | - | Vanguard | 0,10 | Samlet marked | FTSE Germany All Cap Index - EUR | 17.7.2018 | 31,58 | 1,78 | 16,43 |
| Aktier | 188,087 mio. | - | Vanguard | 0,44 | Samlet marked | FTSE Developed All-Cap Index | 14.6.2016 | 58,06 | 2,91 | 18,91 |
| Obligationer | 159,808 mio. | 44.514,25 | Vanguard | 0,12 | Bredt kredit | | 21.11.2024 | 72,88 | 0 | 0 |
| Obligationer | 156,845 mio. | - | Vanguard | 0,33 | Investment Grade | Bloomberg Barclays Global Aggregate Float Adjusted Composite Index (CAD-hedged) - CAD | 17.1.2020 | 20,99 | 0 | 0 |
| Obligationer | 152,458 mio. | - | Vanguard | 0,15 | Investment Grade | Bloomberg Barclays MSCI Global Corporate Float-Adjusted Liquid Bond Screened Index - CHF | 20.5.2021 | 4,38 | 0 | 0 |
| Formuefordeling | 144,826 mio. | - | Vanguard | 0,25 | Målsætningsrisiko | | 8.12.2020 | 26,65 | 0 | 0 |
| Obligationer | 136,169 mio. | - | Vanguard | 0,11 | Investment Grade | Bloomberg MSCI EUR Corporate Liquid Bond Screened Index - EUR - Benchmark TR Net | 15.11.2022 | 5,66 | 0 | 0 |
| Obligationer | 124,278 mio. | 65.473,82 | Vanguard | 0,07 | Investment Grade | Bloomberg Short Treasury Index | 7.2.2025 | 75,33 | 0 | 0 |
| Obligationer | 117,678 mio. | - | Vanguard | 0,12 | Investment Grade | Bloomberg Global Aggregate - US Treasury Float Adjusted | 4.3.2025 | 24,91 | 0 | 0 |
| Aktier | 114,519 mio. | - | Vanguard | 0,12 | Samlet marked | FTSE Developed Europe All Cap Choice Index - EUR - Benchmark TR Net | 16.8.2022 | 6,05 | 1,90 | 13,12 |
| Aktier | 114,519 mio. | - | Vanguard | 0,12 | Samlet marked | FTSE Developed Europe All Cap Choice Index - EUR - Benchmark TR Net | 16.8.2022 | 6,05 | 1,90 | 13,12 |
| Obligationer | 111,78 mio. | - | Vanguard | 0,10 | Investment Grade | Bloomberg Global Aggregate Float-Adjusted and Scaled | 18.6.2019 | 22,40 | 0 | 0 |
| Obligationer | 111,123 mio. | - | Vanguard | 0,17 | Investment Grade | Bloomberg Barclays Global Aggregate Canadian Government Float Adjusted Bond Index - CAD | 31.1.2017 | 22,59 | 0 | 0 |
| Aktier | 104,751 mio. | - | Vanguard | 0,22 | Samlet marked | FTSE Developed Asia Pacific All Cap Index - CAD | 30.6.2014 | 37,65 | 1,40 | 13,94 |
| Obligationer | 102,87 mio. | - | Vanguard | 0,14 | Investment Grade | Bloomberg Global Aggregate Corporate - United States Dollar | 25.5.2021 | 46,70 | 0 | 0 |
| Obligationer | 101,705 mio. | - | Vanguard | 0,07 | Investment Grade | Bloomberg Sterling Gilt Float Adjusted index - GBP - Benchmark TR Net | 19.2.2019 | 19,84 | 0 | 0 |
| Obligationer | 98,207 mio. | - | Vanguard | 0,10 | Investment Grade | Bloomberg Global Aggregate Float-Adjusted and Scaled | 18.6.2019 | 21,05 | 0 | 0 |
| Obligationer | 84,635 mio. | - | Vanguard | 0,15 | Investment Grade | Bloomberg MSCI Global Corporate Float-Adjusted Liquid Bond Screened Index - GBP - Benchmark TR Gross Hedged | 20.5.2021 | 4,86 | 0 | 0 |
| Obligationer | 81,873 mio. | 21.970,91 | Vanguard | 0,12 | Bredt kredit | | 5.11.2024 | 74,53 | 0 | 0 |
| Obligationer | 72,757 mio. | - | Vanguard | 0,12 | Investment Grade | Bloomberg Barclays Sterling Gilt Float Adjusted Index (Hedged to EUR) - GBP | 28.8.2020 | 20,06 | 0 | 0 |
| Formuefordeling | 68,931 mio. | - | Vanguard | 0,25 | Målsætningsrisiko | | 8.12.2020 | 23,98 | 0 | 0 |
| Formuefordeling | 60,456 mio. | - | Vanguard | 0,25 | Målsætningsrisiko | | 8.12.2020 | 27,01 | 0 | 0 |
| Formuefordeling | 60,456 mio. | - | Vanguard | 0,25 | Målsætningsrisiko | | 8.12.2020 | 27,01 | 0 | 0 |
| Obligationer | 59,079 mio. | - | Vanguard | 0 | Investment Grade | Bloomberg CAD Short Treasury 1-12m Float Adjusted Index - CAD - Benchmark TR Gross | 9.9.2024 | 50,28 | 0 | 0 |